which legal entity is correctly paired with the party that bears the ultimate responsibility for paying the legal entity's liabilities?

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Answer 1

The party that will ultimately be liable for the legal entity's debts is appropriately paired with the limited partnership legal entity.

The limited partners have limited liability, which entails that they are only responsible for the partnership's debts to the degree of the investments they made in the business; they are not personally accountable to third parties. In a limited partnership, one or more partners are not responsible for day-to-day operations of the company. All limited partners, also referred to as "silent partners," will have no other role in the company other than that of an investor, and their responsibility will be restricted to the amount of money they give.

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if a business firm landscapes its grounds and develops a sculpture garden that benefits the firm but also benefits the neighborhood, that would be an example of a .

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If a business firm landscapes its grounds and develops a sculpture garden that benefits the firm but also benefits the neighborhood, it would be an example of a good corporate citizen.

What is corporate citizenship?

Corporate citizenship, often known as corporate social responsibility, refers to a company's dedication to behaving ethically and giving back to society in various ways. By operating in such a way that improves society and the natural environment, businesses make a meaningful contribution to corporate citizenship.

Corporate citizenship is a significant component of business operations in the twenty-first century. Many companies choose to engage in activities that benefit the communities they serve in order to build a good reputation and develop customer loyalty.

Landscaping grounds and developing sculpture garden that benefits a firm but also benefits the neighborhood is an example of how business organizations are engaged in activities that enhance the quality of life of the people who reside and operate within their vicinity.

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lawyers work in pleasant surroundings at low risk of injury, but they generally receive higher pay than construction workers. this is because

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The statement that lawyers work in pleasant surroundings at low risk of injury, but they generally receive higher pay than construction workers because: Lawyers work in pleasant surroundings at low risk of injury, but they generally receive higher pay than construction workers because of their higher education and specialized skills.

The level of education required for a lawyer is much higher than for a construction worker. Lawyers usually have completed an undergraduate degree and then have gone to law school for at least three years. During their education, they have learned skills such as research, writing, and critical thinking, as well as specialized knowledge of the law. These skills and knowledge are in high demand and are what allow lawyers to command higher salaries.Construction workers typically do not require as much education and training as lawyers. While there may be some specialized skills required for certain construction jobs, the overall level of knowledge and education required is generally lower than that of a lawyer. This is why construction workers typically receive lower pay than lawyers, even though their jobs may involve more physical labor and a higher risk of injury.

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you recently sold 300 shares of apple stock to another investor, and the transfer was made through a broker. this is an example of:]

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Recently selling 300 shares of Apple stock to another investor, and the transfer was made through a broker, is an example of a secondary market transaction.

What is a secondary market transaction?

Secondary market transactions refer to the buying and selling of securities in which neither the issuing company nor any of its affiliates is directly involved. The secondary market provides liquidity to investors and facilitates the trading of securities among investors.

Brokers or dealers execute secondary market transactions between buyers and sellers. If an investor decides to sell a stock, the transaction will occur in the secondary market, where an investor would make a purchase based on the price of the stock given by the seller.

As per the provided information, you recently sold 300 shares of Apple stock to another investor, and the transfer was made through a broker. This is an example of a secondary market transaction.

What is a broker?

A broker is a professional who serves as an intermediary between the buyers and sellers in the securities markets. Brokers, who work for brokerage firms, have direct connections to securities exchanges and market data providers, allowing them to assist clients in making informed investment decisions.

Brokers can also give assistance to clients in analyzing securities and performing trades in various markets.

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Recently selling 300 shares of apple stock to another investor, and the transfer was made through a broker is an example of stock trading.

Stock trading is a mechanism for buying and selling stock, and it happens in an exchange market. There are two types of stock trading: primary and secondary.

Primary trading involves trading stock directly with the issuing company, while secondary trading occurs when an investor sells shares to another investor through a broker. When stock is sold, a broker facilitates the transfer of ownership from one investor to another.

The broker may charge a commission for their services. Overall, this is a good way for investors to invest their money in the stock market, diversify their portfolio and earn a return on investment.

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three partners in a business receive profits in the ratio of 2:4:8 . a fourth partner automatically receives $50,000 profit. the company during the year has a profit of $400,000. what are the amounts for the other three partners? a each partner receives $150,000. b each partner receives $116,667. c the first partner receives $64,286. the second partner receives $128,572. the third partner receives $257,144. d the first partner receives $50,000. the second partner receives $100,000. the third partner receives $200,000

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The amounts for the other three partners are: c) the first partner receives $64,286, the second partner receives $128,572, and the third partner receives $257,144.

A profit is the excess revenue that remains after accounting for all expenses, debts, and operating costs. If a business receives profits, it implies that the revenue generated by the company exceeds the total costs incurred by it. The profit-sharing ratio of the other three partners is 2:4:8.The profits for the other three partners are calculated by multiplying the profit-sharing ratio by the profit of the company.

Since the fourth partner has already been given $50,000, this sum is deducted from the total profit before calculation. For the first partner: (2/14) × ($400,000 – $50,000) = $64,286For the second partner: (4/14) × ($400,000 – $50,000) = $128,572For the third partner: (8/14) × ($400,000 – $50,000) = $257,144

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to be considered a qualifying child of a taxpayer, the individual must be a child of the taxpayer. t/f

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To be considered a qualifying child of a taxpayer, the individual must be a child of the taxpayer. This statement is TRUE.

What is a qualifying child?

A qualifying child is a child who meets a set of IRS requirements. The qualifying child must be the child of the taxpayer, a stepchild or foster child, a sibling or stepsibling, or a descendant of any of these relatives, and must meet several other criteria to be considered a qualifying child of the taxpayer.

The requirements for a child to be a qualifying child are as follows:

Age: The qualifying child must be under the age of 19 or under the age of 24 if enrolled full-time in college or university for at least five months out of the year.Residence: The qualifying child must have lived with the taxpayer for more than half of the year.Support: The qualifying child must not have provided more than half of their financial support throughout the year.Relationship: The qualifying child must be the child, stepchild, foster child, sibling, stepsibling, or descendant of the taxpayer.

The following details should be kept in mind: To claim a dependent as a qualifying child on your tax return, you must also have earned income. If your qualifying child meets all of the requirements, you may be eligible for the Child Tax Credit or the Earned Income Tax Credit (EITC).

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when frankie was hired by the railroad, she was offered $17.50 an hour. her best friend grace, who started at the same railyard doing the same job two years ago, makes $33.75 an hour. this is an example of

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This is an example of unequal pay for equal work.

Example of unequal pay

Frankie was hired for the same job as her friend Grace, yet she is earning almost half of what Grace makes for the same job.

This type of inequality is illegal and unethical, and should not be tolerated. The Equal Pay Act of 1963 requires that men and women be given equal pay for equal work. It stipulates that employers are prohibited from discriminating on the basis of sex when setting wages and prohibits unequal pay based on gender.

This applies to all forms of pay, including wages, salary, commissions, bonuses, and more. The unequal pay between Frankie and Grace is an example of an employer breaking this law.

This discrepancy in pay not only affects Frankie's quality of life, but it also contributes to a larger gender pay gap. Women on average make 79 cents for every dollar a man earns, which is an unacceptable gender gap that needs to be addressed.

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what are the major determinants of price elasticity of demand? instructions: in order to receive full credit, you must make a selection for each option. for correct answer(s), click the box once to place a check mark. for incorrect answer(s), click the option twice to empty the box.

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The major determinants of price elasticity of demand are the availability of substitutes, the necessity of the item, the share of the item in the consumer's budget, and the time frame over which the demand is considered.


Price elasticity of demand refers to how responsive consumers are to changes in the price of a good or service.

Availability of Substitutes: The availability of substitutes determines how easily a consumer can find another good to fulfill their needs. The more substitutes available, the more price elastic the demand.  
Necessity of Item: The necessity of the item determines how much consumers are willing to pay. Necessary items, such as food, will have more inelastic demand than luxury items, like jewelry.  
Share of Item in Consumer's Budget: The share of the item in the consumer's budget determines how sensitive consumers are to changes in the price of the item. Items that are a large share of the consumer's budget will be more price elastic than items that are only a small share of the budget.  
Time Frame: The time frame over which the demand is considered determines how quickly consumers can adjust their spending. If the time frame is longer, consumers have more time to adjust their spending and the demand will be more price elastic.  

In conclusion, understanding the major determinants (availability of substitutes, the necessity of the item, the share of the item in the consumer's budget, and the time frame over which the demand is considered) of price elasticity of demand is crucial for businesses when setting prices. Businesses must consider the availability of substitutes, the proportion of income spent on the product, the necessity of the product, the time available for consumers to adjust, and the degree of brand loyalty in order to determine the optimal price for their product.

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aunt butch borrows $19,500 from the bank at 8 percent annually compounded interest to be repaid in 10 equal annual installments. the interest paid in the third year is

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The interest paid in the third year is $1,336, which can be calculated using the formula for the present value of an annuity.

To calculate the interest paid in the third year, we first need to find the amount of each annual installment. We can use the formula for the present value of an annuity to do this:

[tex]PV = PMT x\frac{(1 - 1/(1+r)^n) }{r}[/tex]

Where PV is the present value (the amount borrowed), PMT is the amount of each annual payment, r is the annual interest rate (8% or 0.08), and n is the number of payments (10). Plugging in the given values, we know:

PV = $19,500r = 0.08n = 10

So:

[tex]PMT= PV /\frac{(1 - 1/(1+r)^n) }{r}[/tex][tex]PMT= 19,500 /\frac{(1 - 1/(1+0.08)^10) }{0.08}[/tex]PMT = $3,050.87

So the amount of each annual payment is $3,050.87.

Now we need to find the interest paid in the third year. Since the payments are equal, we can use the formula for the future value of an annuity to find the amount of the remaining payments after two years:

[tex]FV = PMT x\frac{((1+r)^n - (1+r)^t) }{r}[/tex]

where FV is the future value, t is the number of years already passed (2), and all other variables are the same as before. Plugging in the values, we get:

[tex]FV = 3,050.87 x\frac{((1+0.08)^10 - (1+0.08)^2) }{0.08}[/tex]FV = $22,376.98

So after two years, Aunt Butch still owes $22,376.98. To find the interest paid in the third year, we subtract the remaining balance after two years from the total amount borrowed, and then calculate 8% of that amount:

Interest paid in third year = 0.08 x ($19,500 - $22,376.98)Interest paid in third year = $1,336.16

Therefore, the interest paid in the third year is $1,336 (rounded to the nearest dollar).

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the decision whether to produce products in the plant owned by your company or to outsource that production is made by which functional group?

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The decision whether to produce products in the plant owned by your company or to outsource that production is made by Finance department or top level management, as they consider the cost of production and outsourcing and compare both and choose the most efficient method.

What is Outsourcing?

Outsourcing is the activity in which the company gets services from another company, mainly a company outsources when the other company have better department or is a cheaper option.

In production, inhouse or outsourcing, the two main factors that are considered are Cost and Quality. Companies out sourcing its production and departments ensure that the quality is not compromised and or the cost is saved.

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Determine which of the items below would show up on a monthly bank statement.
- Deposits and other credits increasing the account during the period
- Checks and other debits decreasing the account during the period
- Beginning-of-period balance in the account
- End-of-period balance in the account

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A monthly bank statement is a report that details all transactions made in a bank account during a specific period of time. End-of-period balance in the account is one of the items that would show up on a monthly bank statement.

A bank statement provides information regarding a bank account that an account holder uses to manage their money. Banks generally issue monthly statements to their customers. The statement includes a list of all transactions made during the month, as well as the beginning and ending balances.The statement also shows the beginning balance of the account, the deposits made during the month, the withdrawals made during the month, and the end-of-period balance in the account. Checks, automated teller machine (ATM) transactions, and electronic transfers are all examples of transactions that may be found on a bank statement. The statement also shows any fees charged for account management, such as overdraft fees, monthly service fees, or ATM fees.Bank statements serve as an important financial record that individuals can use to manage their money. Account holders can compare their receipts and their bank statements to ensure that all transactions are accounted for and to check for any discrepancies.
A monthly bank statement typically includes various details regarding your account activity within a specific period. One of the items that will show up on a monthly bank statement is the end-of-period balance in the account. This balance represents the total amount of money in your account at the end of the statement period, after taking into account all the deposits, withdrawals, and other transactions that occurred during that time. The end-of-period balance helps you keep track of your financial progress and ensures that you are aware of your current financial situation.

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Hi! A monthly bank statement provides an overview of your account activity, including deposits, withdrawals, fees, and interest earned. In relation to the end-of-period balance, the items that would show up on a monthly bank statement are:

1. Beginning balance: The account balance at the start of the month.
2. Deposits: Money added to the account, such as salary, transfers, or cash deposits.
3. Withdrawals: Money taken out of the account, like ATM withdrawals, check payments, and electronic transfers.
4. Fees: Any charges imposed by the bank, including account maintenance, overdraft, or ATM fees.
5. Interest earned: If the account earns interest, this amount will be included.
6. End-of-period balance: The final balance in the account after accounting for all transactions during the month.

These items provide a comprehensive summary of your account's financial activity, allowing you to track your spending, ensure accuracy, and maintain a healthy financial status.

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the period between a business cycle peak and a business cycle trough is called part 2 a. expansion. b. recalculation. c. diffusion. d. recession.

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The period between a business cycle peak and a business cycle trough is called a recession.

Business Cycle:

Business cycles are a recurring series of booms and slumps in economic activity. They are often referred to as cycles, and the cycles in the economy can be studied and observed over time. There are many phases to the business cycle, including the peak, contraction, trough, and expansion.

Business Cycle Peak:

A cycle peak, also known as a business cycle peak, is a point in time when economic activity has reached its peak, and the economy is set to enter a contraction phase.

During this phase, unemployment rises, and economic growth slows. The period between a business cycle peak and a business cycle trough is called a recession. The period between a business cycle trough and the next business cycle peak is referred to as an expansion phase.

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what would be ernesto's depreciation deduction for the camera in year 2 if his year 2 usage was 75 percent business and 25 percent for personal use?

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Ernesto's depreciation deduction for the camera in year 2, assuming a 75% business use and 25% personal use, would be $360.

The depreciation deduction for year 2 can be calculated using the modified accelerated cost recovery system (MACRS) formula, which uses a depreciation rate and a recovery period determined by the IRS based on the type of asset and the year it was placed in service.

Assuming that the camera is a 5-year property and was placed in service in year 1, the depreciation rate for year 2 would be 32% (as per MACRS Table) and the depreciation deduction can be calculated as follows:

Depreciation deduction = (Cost basis x Depreciation rate) x Business use percentage

where the cost basis is the original cost of the asset minus any salvage value or other adjustments.

Let's say the cost basis of the camera was $2,000 and there is no salvage value. Then the depreciation deduction for year 2 would be:

Depreciation deduction = ($2,000 x 32%) x 75% = $480 x 0.75 = $360

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India specializes in business process outsourcing and does this more efficiently than any other country. It buys agricultural commodities, which it produces less efficiently than outsourcing activities, from the United States, even though it produces these agricultural commodities more efficiently than the United States Which international trade theory supports India's decision to buy agricultural commodities from the United States?O Absolute Advantage ExampleO Comparative Advantage ExampleO Product Life Cycle Theory ExampleO Heckscher-Ohlin Model (Factor Proportions Theory) Example

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The Heckscher-Ohlin Model (Factor Proportions Theory) Example supports India's decision to buy agricultural commodities from the United States.

This theory suggests that countries that have an absolute advantage in the production of certain goods will tend to export them and import goods that they have a comparative disadvantage in producing.

In this case, India specializes in business process outsourcing, which it can do more efficiently than other countries. However, it is not as efficient in producing agricultural commodities as the United States, so it is more efficient for India to buy these commodities from the United States.

This is an example of comparative advantage, as India can produce the agricultural commodities, but does so less efficiently than the United States. Therefore, it makes sense for India to focus on its comparative advantage in business process outsourcing and buy agricultural commodities from the United States.

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the following data pertains to activity and costs for two months: june july activity level in units 10,000 11,000 direct materials $ 17,000 $ ? fixed factory rent 21,000 ? other production costs 20,000 ? total cost $ 58,000 $ 61,300 assuming that these activity levels are within the relevant range, the other production costs for july were

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The other production costs for July were $23,300.

Here's how to get to the answer:Direct Materials is a variable cost because it increases in direct proportion to the increase in production or activity level. Fixed Factory Rent is a fixed cost because it does not vary with changes in the production level.Other Production Costs can include a mix of variable and fixed costs, so we can't assume that it is either one of them.

Therefore, we will need to calculate the Other Production Costs for July using the High-Low method.The High-Low method can be used to separate the variable and fixed components of mixed costs. It involves selecting the highest and lowest activity levels, identifying the total costs incurred at those levels, and calculating the variable cost per unit and the fixed cost component.

We will begin with calculating the variable cost per unit.Variable Cost per Unit = (Costs at High Activity Level - Costs at Low Activity Level) / (High Activity Level - Low Activity Level)= ($61,300 - $58,000) / (11,000 - 10,000)= $3.30 per unitNext, we will use the variable cost per unit to calculate the fixed cost component.Fixed Costs = Total Costs - (Variable Cost per Unit x Number of Units)= $61,300 - ($3.30 x 11,000)= $22,800

Finally, we can use the fixed cost component to calculate the Other Production Costs for July.Other Production Costs for July = Total Costs - (Direct Materials + Fixed Factory Rent + Fixed Costs)= $61,300 - ($17,000 + $21,000 + $22,800)= $23,300Therefore, the Other Production Costs for July were $23,300.

The complete question is:

The following data pertains to activity and costs for two months:

JuneJulyActivity level in units 10,000 11,000 Direct materials$17,000 $? Fixed factory rent 21,000 ? Other production costs 20,000 ? Total cost$58,000 $61,300

Assuming that these activity levels are within the relevant range, the other production costs for July were: (Round intermediate calculations to 2 decimal places.)

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project risk is lowest during the: concept stage of the project life cycle. implementation stage of the project life cycle. termination stage of the project life cycle. development stage of the project life cycle.

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The project life cycle stage where risk is lowest is when the project is terminated.

When in a project's life cycle is risk the greatest?

Stakeholders have the most power to affect project results during the project's first phases. Due to the huge proportion of unknowable elements, risk is at its maximum during this phase.

Why is a project considered low risk?

Minimal risk suggests that there won't be a significant negative effect on the organisation should the project fail. Hard implementation describes the resources needed to successfully accomplish the project, which include both a large number of people and a large sum of money or assets.

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wilma is hired to keep the books and pay the bills for a small company. she provides a(n) resource for the firm.

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Wilma provides a valuable resource for the small company she works for by keeping their books and paying their bills.

Financial management can be difficult for a small business to maintain, but Wilma's expertise and experience makes it possible. With her help, the company can track their finances, create a budget, pay bills on time, and stay on top of cash flow.

Wilma's ability to handle the company's finances accurately and effectively can help them stay organized and increase their bottom line. In short, Wilma provides a valuable resource for the small company and her services can help them stay successful.

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when the management of a business want to show the relationships and positions within the business they create a(n) .

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The management of a business creates an organizational chart to show the relationships and positions within the business. An organizational chart visually illustrates the hierarchy of the business, including job titles, reporting relationships, and who is responsible for what.

An organizational chart is an important tool for managing a business, as it provides a visual representation of the organizational structure and how each part of the business fits together. It helps to define roles and responsibilities, as well as how decisions are made and who is responsible for what.

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during which step of the continual improvement model would you check to verify whether or not you have reached the desired outcome in your improvement initiative?

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The step of the continual improvement model where you would check to verify whether or not you have reached the desired outcome in your improvement initiative is the "Did we get there?" step.

The "Did we get there?" step is the final step in the Plan-Do-Check-Act (PDCA) continual improvement model, where the results of the implementation are compared with the expected outcomes. This step involves collecting data and analyzing it to determine if the goals and objectives of the improvement initiative have been achieved.

If the desired outcomes have been met, the improvement initiative can be considered successful and can be standardized as part of regular operations. If not, the process can be repeated or modified to achieve the desired outcome in future iterations.

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which of the following new businesses is an example of a business with a high operating leverage? question 1 options: personal training business dogwalking service luxury hotel consulting firm

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A C: luxury hotel is an example of a business with a high operating leverage.

Operating leverage refers to the extent to which a company relies on fixed costs in its operations. In the case of a luxury hotel, there are high fixed costs associated with maintaining and operating the hotel, such as staff salaries, utilities, property maintenance, and other expenses. This means that the hotel has a high degree of fixed costs relative to variable costs, which can lead to high profits in periods of high occupancy but also high losses in periods of low occupancy.

Therefore, a luxury hotel is an example of a business with high operating leverage.

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the toy box pays an annual dividend of $2.40 per share and sells for $46.60 a share based on a market rate of return of 15 percent. what is the capital gains yield?

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The capital gains yield is 9.44%.

Capital gains yield is the percentage of an investment's value that increases in a given year as a result of share price increases. In this question, we are asked to find the capital gains yield of the toy box that pays an annual dividend of $2.40 per share and sells for $46.60 a share based on a market rate of return of 15 percent. The formula to calculate capital gains yield is: Capital gains yield = (P1 - P0) / P0 × 100%Where:P0 is the purchase price of the stock, which is $46.60P1 is the selling price of the stock, which is unknown at this point.

Therefore, the formula to calculate the capital gains yield can be written as: Capital gains yield = (P1 - $46.60) / $46.60 × 100%We need to solve for P1. To do that, we can use the following formula: Market rate of return = dividend yield + capital gains yield Or Capital gains yield = market rate of return - dividend yield .Substituting the values into the above formula: Capital gains yield = 15% - ($2.40 / $46.60)Capital gains yield = 9.44%Therefore, the capital gains yield is 9.44%.

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bob purchases a book for $4, and his consumer surplus is $2. how much is bob willing to pay for the book? group of answer choices $2 $6 $8 $4

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Bob's consumer surplus can be defined as the difference between what he is willing to pay for an item and the actual price he pays for it His willingness to pay was $6


Thus, if Bob paid $4 for the book and his consumer surplus was $2, then he would have been willing to pay $6 for the book.

Since consumer surplus is defined as the difference between the maximum amount that consumers are willing to pay and the actual amount they pay for a product, Bob's willingness to pay for the book is $6.

His willingness to pay was $6 because the consumer surplus he gained was $2.

Thus, if the price of the book was $6, Bob would have had no consumer surplus, and if it was higher than $6, he would have been better off without purchasing the book. Consequently, the amount Bob is willing to pay for the book is $6.

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zack buys a policy and names his wife, tammy, as the beneficiary. she is insured as well. zack is the beneficiary on her policy. zack is killed immediately. tammy dies 10 days later due to complications from the accident. their son, james, is the secondary beneficiary on both policies. james has no will. q: if their son, james, is already dead, then to whom would the life insurance proceeds go?

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If their son James is already dead, then the life insurance proceeds would go to the following beneficiaries: Zack buys a policy and names his wife, Tammy, as the beneficiary. She is insured as well. Zack is the beneficiary on her policy.

Zack is killed immediately. Tammy dies ten days later due to complications from the accident. Their son, James, is the secondary beneficiary on both policies. James has no will.

If James is already dead, then the life insurance proceeds will go to the contingent beneficiary, which is the person or entity named to receive the proceeds if the primary beneficiary predeceases the insured.

The life insurance policy's language determines the contingent beneficiary. If no contingent beneficiary is specified, then the proceeds will go to the insured's estate.

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company 7 has a gross profit of $70 million and net sales of $150 million. what is the gross profit ratio for that company?

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The gross profit ratio for Company 7 is 46.7%.

Given:
1. Gross Profit = $70 million


2. Net Sales = $150 million


3. Gross Profit Ratio = Gross Profit/Net Sales


4. Gross Profit Ratio = $70 million/$150 million


5. Gross Profit Ratio = 46.7%

Gross profit ratio is an accounting ratio used to determine the relationship between gross profit and net sales. It is calculated by dividing gross profit by net sales, which results in a percentage. The gross profit ratio is sometimes referred to as the gross margin ratio.

The formula is as follows: Gross profit ratio = Gross profit / Net sales × 100

In this instance, Gross profit = $70 million, Net sales = $150 million

Gross profit ratio = $70 million / $150 million × 100Gross profit ratio = 0.46667 × 100 = 46.667%Therefore, the gross profit ratio for that company is 46.667%.

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if volume rises or falls, a. variable costs will not change b. fixed costs will not change (within a wide range) c. variable costs will change d. a

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The answer is c. variable costs will change

Explanation:If the volume rises or falls, the variable costs will change. Variable cost is the cost that varies with the level of output. When the level of output rises, the variable cost also rises. Similarly, when the level of output falls, the variable cost also falls.Variable costs include direct material, direct labor, and other direct expenses such as variable overhead. They are not constant and depend on the level of production.

They may increase or decrease with the level of production or sales. Hence, when the volume of production increases, variable costs increase, and when production falls, variable costs fall.Fixed costs are costs that do not vary with the level of output. Examples of fixed costs include rent, depreciation, salaries, and insurance. They remain constant regardless of the level of production or sales. Hence, if the volume rises or falls, fixed costs will not change (within a wide range). Therefore, option (c) is the correct answer.

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individual taxpayers are not taxed on their cancellation of debt (cod) income if their debt was forgiven as part of bankruptcy proceedings group of answer choices true false

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True. Individual taxpayers are not taxed on their Cancellation of Debt (COD) income if their debt was forgiven as part of bankruptcy proceedings.

This applies to any debts forgiven in the tax year, such as credit card debt, student loan debt, business debt, or other forms of debt.

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if 12,500 units were produced and sold, what is the average fixed manufacturing cost per unit produced?

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The average fixed manufacturing cost per unit produced is calculated by dividing total fixed costs by the number of units produced. In this case, if 12,500 units were produced and sold, the average fixed manufacturing cost per unit is calculated by dividing total fixed costs by 12,500 units.

Total fixed costs can be found by subtracting the variable manufacturing costs from the total costs. This can be calculated by multiplying the variable costs by the number of units produced and subtracting it from the total cost of production. After subtracting variable costs, divide the resulting number by the number of units produced to find the average fixed manufacturing cost per unit.

Therefore, the formula to calculate the average fixed manufacturing cost per unit produced is as follows: Average fixed manufacturing cost per unit produced = (Total cost of production - (Variable cost per unit x Number of units produced)) / Number of units produced.

In this case, the average fixed manufacturing cost per unit produced is equal to (Total cost of production - (Variable cost per unit x 12,500)) / 12,500.

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an economy in which elements of both private enterprise and government intervention are present is known as:

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An economy that contains elements of private enterprise and government intervention is called a mixed economy.

A mixed economy is an economic system that combines elements of both capitalism and socialism. It has characteristics of both capitalism and socialism, but it is not purely either of them. It's a hybrid system that blends the best of both worlds.

What is a private enterprise? A private enterprise is a system in which businesses are owned and operated by individuals or groups of individuals. In a private enterprise system, the government has little or no involvement in the operation of businesses.

What is government intervention? Government intervention refers to the involvement of the government in the operation of the economy. The government may use its power to regulate or control economic activity, to redistribute income and wealth, or to provide public goods and services. Government intervention is often seen as necessary to correct market failures and ensure that the economy operates efficiently and fairly. However, too much government intervention can be harmful to economic growth and development.

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question number 2) government regulation influences the operations of most businesses. which regulatory topic did software ag's ceo briefly discuss?

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Every industry is subject to certain government rules, and institutions are required to abide by these regulations.

What is the purpose of software AG?

Enterprise software integration solutions are offered by the technology firm Software AG (SAG). The company provides a number of platforms, including adabas & natural, apis, integration, and microservices platforms, as well as IoT and analytics systems.

What would you say about Software AG's growth plan?

Its declared objective is to grow through a "string of pearls" acquisition plan that emphasizes selective purchases that offer value in certain areas and are in demand by current clients.

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in the quadrant of the core competence--market matrix, the focus is on leveraging current core competencies to improve current market position. multiple choice question.

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The core competency-market matrix's fourth quadrant focuses on utilising present core competencies to strengthen the current market position. This gives businesses a competitive advantage.

What are the four criteria used to identify the core competencies of a company's capabilities?

A resource or capability contributes to a company's competitive edge over industry competitors and enables the firm to achieve profitability if it fits the following conditions. If a resource or skill is precious, uncommon, expensive to duplicate, and non-replaceable, it qualifies as a core competency.

How can having a competitive edge come from core competencies?

Organizations can obtain a competitive edge through the development of their core competencies, which has the specific benefit of raising sales and profits. Businesses accomplish this by being innovative while creating new products and services.

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berta, the manager of an automobile showroom, announces a new scheme wherein the company offers an all-expenses paid trip to the salesperson who sells the most number of cars in the next quarter. this inspires berta's subordinates to work harder and improve their performance. in this scenario, berta uses a(n) . group of answer choices countertransference technique intrinsic motivation technique counterconditioning technique positive reinforcement technique

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In this scenario, Berta is using a Positive Reinforcement Technique to motivate her subordinates.

Positive Reinforcement is a type of behavior modification that rewards desirable behavior. By offering an all-expenses paid trip to the salesperson who sells the most cars, Berta is providing a positive reward that encourages her subordinates to work harder and improve their performance.

This reward serves as a motivation for them to strive for higher results and encourages them to maintain their performance. By implementing this technique, Berta is reinforcing the desired behavior, which in turn leads to better outcomes.

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