Income statement calculations and formats-perpetual LO5 sotve it CHECK FIGURE: 1. Income from operations =$55,000 The following amounts appeared on Davison Company's adjusted trial balance as of October 31,2020 , the end of its fiscal year: Required 1. Prepare a classified multiple-step income statement for internal use (see Exhibit 5.13) that lists the company's net sales, cost of goods sold, and gross profit, as well as the components and amounts of selling expenses and general and administrative expenses. 2. Present a condensed single-step income statement (see Exhibit 5.15) that lists these costs: cost of goods sold, selling expenses, and general and administrative expenses.

Answers

Answer 1

Classified Multiple-Step Income Statement:

Davison Company

Income Statement

For the Year Ended October 31, 2020

Net Sales $XXX

Cost of Goods Sold

Beginning Inventory $XXX

Purchases $XXX

Freight-In $XXX

Total Cost of Goods Available for Sale $XXX

Ending Inventory ($XXX)

Cost of Goods Sold $XXX

Gross Profit $XXX

Operating Expenses:

Selling Expenses:

Advertising Expense $XXX

Sales Commissions Expense $XXX

Delivery Expense $XXX

Total Selling Expenses $XXX

General and Administrative Expenses:

Salaries Expense $XXX

Rent Expense $XXX

Utilities Expense $XXX

Insurance Expense $XXX

Depreciation Expense $XXX

Total General and Administrative Expenses $XXX

Income from Operations $55,000

Condensed Single-Step Income Statement:

Davison Company

Income Statement

For the Year Ended October 31, 2020

Revenue:

Net Sales $XXX

Expenses:

Cost of Goods Sold $XXX

Selling Expenses $XXX

General and Administrative Expenses $XXX

Total Expenses $XXX

Net Income $55,000

In the classified multiple-step income statement, the various components of the income statement are categorized and displayed separately, providing a more detailed breakdown of the company's performance. It presents the net sales, cost of goods sold, gross profit, selling expenses, and general and administrative expenses.

In the condensed single-step income statement, the income statement is presented in a simpler and more summarized format. It combines all expenses into a single category and provides a straightforward view of the company's net income.

Please note that the figures in the income statement (net sales, cost of goods sold, expenses) are not provided in the question and should be filled in with the appropriate amounts from the company's adjusted trial balance.

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Related Questions

Last year, diana’s boss promised her a big bonus if she met her goals. At the end of the year, after diana had exceeded her goals, she found her bonus was very small. In the future, diana’s _____ will probably be ____.

Answers

Answer:

Brainliest pls

Explanation:

instrumentality; low

Which of the following is true about certified public accountants (CPAs)?

O A. CPAs work for government agencies and corporations.
B. CPAs only work in the public sector.
C. CPAs only work in the private sector.
O D. CPAs work for small businesses but not large businesses.

Answers

Answer:

A. CPAs work for government agencies and corporations.

Explanation:

Certified public accountant (CPA) is the title for skilled, competent, and professionally trained accounts. Accountants play a significant role in any organization's success, be it a business-oriented, government institution, or not-for-profit organization. Employers seek and employ qualified and certified accountants to work in their organizations.

Both the public and private sector engage the services of certified account to take charge of accounting and financial management. The objective is to ensure that financial transactions are recorded correctly, and the financial statement reflects the true picture of the organization as per the generally accepted accounting principles.

Help. business management

Help. business management

Answers

Answer: The break-even point is 66 units.

Explanation:

The break-even point can be found by dividing total fixed costs by the difference between selling price and variable cost.

(fixed cost) / (sale price - variable cost)

1980 / (50 - 20) = 66 units

Salt & Battery must sell 66 units of product before breaking even.

Which statements apply to a certificate of deposit (CD)? Check all that apply. It is always purchased as a short-term investment. It can be purchased from a banking institution. It is always purchased as a long-term investment. It can be purchased for almost any amount. It is purchased through an individual's employer.

Answers

The statements that apply to a certificate of deposit include;

It can be purchased from a banking institution. It can be purchased for almost any amount.

A certificate of deposit is a low-risk investment where the depositor fixes a sum of money in an account for a period of time after which he can collect the investment along with interest accrued. Banks and credit unions are the main financial institutions known for issuing certificates of deposits. It is quite similar to opening a bank account.

The flexibility obtainable from this investment plan allows depositors to fix amounts that are commensurate to their budgets. However, some financial institutions have minimum amounts that are required for certificates of deposit. Different institutions have varying interest rates, therefore, it is necessary to make proper research before opting for an institution.

Summarily, the statements that apply to a certificate of deposit are;

It can be purchased from a banking institution. It can be purchased for almost any amount.

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Answer:

              -It can be purchased from a banking institution.

              - It can be purchased for almost any amount.

Explanation: just took the test

Which nims management characteristic helps to eliminate confusion?.

Answers

Answer:

Chain of command and unity of command help to ensure clear reporting relationships exist and eliminate the confusion caused by multiple, conflicting directives.

Question 3 of 10
Which of the following is a hard skill that a marketing manager might use on
a regular basis?
A. Using listening skills to understand employee concerns
B. Using spreadsheets to plan budgets
C. Using leadership skills to motivate a project team
D. Using coding skills to create websites for clients
SUBMIT

Answers

Answer: B. Using spreadsheets to plan budgets

Explanation: yes

Type the correct answer in the box. Spell all words correctly.
Which technology was used to try and prevent illegal recording, copying, and distribution of movies and TV shows?

The FTC was unsuccessful in their attempt to enforce____
technology to prevent illegal recording, copying, and distribution of movies and television shows.

Answers

The FTC was unsuccessful in their attempt to enforce technology to prevent illegal recording is called Digital Rights Management

The technology that was used to prevent illegal recording, copying, and distribution of movies and TV shows is known as Digital Rights Management (DRM). DRM is a technology that is used to restrict the access or use of copyrighted material. It is a set of access control technologies that aim to restrict the use, copying, and distribution of digital content.

DRM was introduced as a measure to prevent piracy and illegal distribution of copyrighted material. It was designed to protect the rights of content creators and ensure that they receive the rightful compensation for their work. However, despite its effectiveness in preventing piracy, DRM has been widely criticized for its restrictive nature and for limiting the freedom of users to access and use digital content.

The FTC attempted to enforce DRM technology to prevent illegal recording, copying, and distribution of movies and television shows. However, their efforts were largely unsuccessful as DRM technology was often circumvented by hackers and other tech-savvy individuals.

As a result, the use of DRM technology has been largely replaced by other measures such as watermarking and content identification systems that are more effective in preventing piracy and illegal distribution of copyrighted material.

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Candace bought a laptop for $475 dollar. She then decided to ell the laptop for $985. What markup rate did Candace ue to calculate the ale price of her laptop? Write your anwer a a percentage rounded to the nearet whole number

Answers

It should be noted that she increased the price by 875 and utilized a markup rate of 0.37 percent.

Laptop for $475 and ultimately chose to sell it for $985.

Thus, 20% of x = 475

Equals 0.22x = 475.

Divide x = 475*0.22

x to get 985.

The proportion is therefore rounded to the nearest full number, which is 0.37%.

The percentage of receivables and the percentage of sales are the two bases for assessing uncollectible accounts. Examples of accounts that are impossible to collect include receivables, loans, and any payment that the debtor decides not to repay. As a result of the debtor's bankruptcy or insolvency, accounts become uncollectible.

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what do sellers of a product do when they expect the price of the goods they sell to increase dramatically in the near future?

Answers

Answer:

Store the goods until prices rises.

What is the most common way the Federal Reserve attempts to increase capital investment?
A.) lower tax rates
B.) increase buying bonds
C.) increase loanable funds
D.)lower interest rates

Answers

Answer:

D

Explanation:

If they lower interest rates. Consumers borrow and buy more making and increasing expansion of capital investments

Hope this helps

The Federal Reserve commonly attempts to increase capital investment by lowering interest rates, which makes borrowing more affordable and encourages businesses and individuals to invest and spend money.

The most common way the Federal Reserve attempts to increase capital investment is by D.) lowering interest rates. By reducing interest rates, the Federal Reserve aims to make borrowing more affordable for businesses and individuals, thereby encouraging them to invest and spend money.

Lower interest rates can incentivize businesses to take out loans for expansion, invest in new projects, and stimulate economic activity. This policy is a tool used to influence economic growth and investment within the country.

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Money encourages specialization by decreasing the .

Answers

Money encourages specialization by decreasing the exchange cost.

The correct option is B.

What is the exchange cost?

Exchange cost is the price by which the product is exchanged between the customer and seller.

Money eliminates the double coincidence of desires, allowing for greater specialization and productivity.

As a result, money enables us to make better use of our limited resources by allowing us to generate more in the same number of resources.

This aids in the reduction of scarcity.

Thus, B is the correct option.

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The government in Chile recently informed Clint Travis' company that his retail grocery chain in Chile would have to be gradually turned over to the people of Chile by the year 2050. Additionally, starting next year fifty percent of the board of directors of the Chilean operation of the company must be Chileans. Which of the following political risk actions is Mr. Travis' company facing in Chile?
A. Confiscation
B. Expropriation
C. Domestication
D. Patronization
E. Socialization

Answers

Answer:

Option C

Explanation:

In simple words, Domestication happens when host nations gradually shift foreign capital to indigenous administration as well as possession through with a succession of governmental decrees that mandate local ownership and increasing national participation in administration.

Hence, from the above we can conclude that the correct option is C.

Analyzing Finance Workers' Qualities, Skills, and Abilities.

According to the video, what qualities, skills, and abilities do workers in this career cluster need? Check ALL that apply.

a. physical strength for working outdoors and traveling
b. communication skills for explaining complex concepts
c. leadership skills for persuading others to take action
d. the ability to inspire others
e. the ability to be unemotional about business
f. the ability to be comfortable in an office setting

Answers

The qualities, skills, and abilities which workers in this career cluster need are:

B. Communication skills for explaining complex conceptsE. The ability to be unemotional about business F. The ability to be comfortable in an office setting

According to the given question, we are meant to show the abilities, skills which workers that were displayed on video needs to have if they are to thrive in their chosen profession.

As a result of this, we can see that the workers in this particular career cluster needs communication skills, emotional intelligence and ability to be comfortable in an office setting.

Therefore, the correct answers are options B, E and F

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Answer:

B.E.F

Explanation:

A large, growing county decides to place a new service center in another city. None of the current employees is interested in relocating. Furthermore, there is some concern that many of the county offices are using outdated technology and old-fashioned methods of customer delivery. For example, services related to building permits, licenses, land records, and tax assessment are scattered throughout a variety of buildings in the county seat. The new model of customer service recommends a single service counter for related services, with employees who are cross-trained. Almost all the job descriptions are at least a decade old (some are 25 years old!), and nearly all the "training" is on the job. How might a job analysis study be useful in this situation? Specifically, what functions might be supported by such a study, and how would they be implemented?

Answers

A job analysis is a procedure for determining the nature of a job and the attributes required to perform it successfully. It is an essential component of the Human Resources (HR) process, which has the purpose of ensuring that an organization's human capital is allocated effectively and efficiently.

In this case, a job analysis study can be beneficial because it will reveal the specific job requirements, tasks, and responsibilities of the employees that will be needed for the new service center. It will also expose the outdated technology and old-fashioned methods of customer delivery that will need to be improved upon. Functions that might be supported by such a study include the identification of the skills, abilities, knowledge, and experience required to perform a job.

This will help in determining which employees will be able to relocate to the new service center. It will also aid in the recruitment of new employees with the necessary qualifications and competencies. Another function that might be supported by a job analysis study is the establishment of performance standards and expectations. This will ensure that the new service center is successful in providing better customer service. Cross-training programs will be designed to help employees acquire new skills and knowledge that will be necessary in the new service center.

Finally, the new job descriptions will reflect the new duties and responsibilities that employees will be required to perform at the new service center. All of these efforts will help to ensure that the new service center is staffed with competent, qualified employees who are capable of delivering high-quality customer service using up-to-date technology and modern methods of customer delivery.

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conflicts between two mutually exclusive projects occasionally occur, where the npv method ranks one project higher but the irr method puts the other one first. in theory, such conflicts should be resolved in favor of the project with the higher npv. t or f

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Theoretically, these disputes ought to be settled in favor of the project with the larger NPV. The given statement is True. 

Define an NPV.

A set of cash flows is said to have a net present value or net present worth if they occur at diverse times. The present value of a cash flow depends on how long it will be before it occurs. Another element is the discount rate. The temporal value of money is considered by NPV.

Using the internal rate of return is one method of calculating the rate of return on an investment. The formula is "internal" because it does not account for external factors like the risk-free rate, inflation, the cost of capital, or financial risk. Applications of the method can be either ex-post or ex-ante.

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Measuring risk according to standard deviation is really measuring: the amount that the stock's return falls below the average return. the return with respect to the market as a whole. the amount of dispersion of the stock's actual return from the average return over a period of time. the amount that the stock's return falls below the expected return.

Answers

Measuring risk according to standard deviation is really measuring the amount of dispersion of the stock's actual return from the average return over a period of time.

Standard deviation is a statistical measurement that indicates the degree to which an asset's actual returns vary from its expected return, indicating volatility.

When the price of an asset fluctuates up and down in a small range, it has low volatility, while when the price swings widely, it has high volatility.

Investors may also use standard deviation to determine the risk of an asset by measuring the amount of dispersion of the stock's actual return from the average return over a period of time.

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The Retalned Earnings account had a beginning credit balance of $26,000. During the period, the business had a net loss $12,000, and the company: paid dividends of $8,000. The ending bolance in the Retained Earnings account is: Multiple Choice A. $6,000. B. $30,000. C. $22,000: D. $14,000

Answers

The ending balance in the Retained Earnings account is D. $14,000. The beginning balance in the Retained Earnings account was $26,000. The business had a net loss of $12,000 and paid dividends of $8,000. Therefore, the ending balance in the Retained Earnings account is $14,000, option D.

The Retained Earnings account is an equity account that represents the accumulated profits or losses of a company since its inception. The beginning credit balance of $26,000 indicates that the company had previously accumulated profits.

Next, the net loss of $12,000 represents the amount by which the company's expenses exceeded its revenues during the period. This net loss is subtracted from the beginning balance of $26,000.

To calculate the ending balance, we need to account for the dividends paid. Dividends are distributions of profits to the shareholders and are recorded as a reduction in the Retained Earnings account. In this case, the company paid dividends of $8,000, which further reduces the Retained Earnings.

Therefore, the ending balance is calculated as follows:

Beginning balance ($26,000) - Net loss ($12,000) - Dividends ($8,000) = $6,000.

The ending balance in the Retained Earnings account is $6,000. However, since the account had a beginning credit balance, this ending balance is a credit balance, not a debit. Thus, the correct answer is D. $14,000, which represents the opposite side (debit) of the Retained Earnings account.

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This morning, you received a phone call alleging you owe a debt. If you dispute this debt, you must write to the debt collector and request verification of the obligation. How many days do you have to send this letter

Answers

Since this has to do with a debt that has been disputed by you, the number of days you have to send this letter is 30 days.

How Many Days Are Required to Send a Debt Dispute Letter?

Following the receipt of a phone call from a debt collector concerning a debt that has been disputed, the next action you must take is to write the debt collector a letter within 30 days after the initial contact.

After then, the debt collector must stop all collection attempts until the appropriate verification is acquired.

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When summarizing, the primary purpose of the communication should never be directly stated.

Question 1 options:
True
False

Answers

Answer: True

Explanation: its alot to put down bye

supposed you invest $500 in a mutual fund today and $600 in one year. if the fund pays 9% annually, how much will you have in two years?

Answers

If the fund pays 9% annually, you will have $1248.05 in two years.

Future value is the value of a product or investment at some point in the future. In other words, the future value is the amount of money that, assuming a specific rate of return, an investment will be worth after a specific period of time.

According to the concept of present value, money is worth more now than it will be later. In other words, money received in the future is not as valuable as money obtained now in the same amount.

A = Future Value

P = Present value

r = Rate of interest

n = Time period

A = \(P(1+r/100)^n\)

= \(500$\times (1.09)^2$ + 600$\times (1.09)^2$\)

= $1248.05

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Which account is credited when a transaction is processed using the write checks window?

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When a transaction is processed using the Write Checks window, the account that is credited is typically the bank account from which the check is written.

1. Access the Write Checks window in your accounting software or system.


2. Select the bank account from which the check will be issued. This is the account that will be credited when the transaction is processed.


3. Enter the payee information, the date, and the amount of the check.


4. Assign the proper expense account(s) to which the check amount will be debited.


5. Save or record the transaction in the system.

Upon recording the transaction, the bank account selected in step 2 will be credited, indicating a decrease in the account balance due to the check being issued. Meanwhile, the expense account(s) selected in step 4 will be debited, reflecting an increase in the company's expenses.

It's important to keep accurate records of transactions and ensure that the appropriate accounts are credited and debited to maintain an organized and accurate financial system. This will help your business have a clear understanding of its financial position and make informed decisions.

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Suppose after the semester ends, you take a trip to an Island of Vieques. Upon arriving at the island, you make a stop at one of the markets and notice that everyone is carrying around jars full of cowry shells. You also notice the person in line in front of you just paid for a twelve-pack old Milwaukee beer with 8 cowry shells. Someone else just bought a Whopper Pizza Combo for 6 cowry shells. Thinking back to your economics class (as painful as that may be), you would conclude that
a) this is a barter economy.
b) those cowry shells are serving as money.
c) cowry shells are valueless.
d) cowry shells soup is a delicacy.

Answers

A) this is a barter

outline 2 advantages to H&H of using secondary market research​

Answers

Answer:

Explanation:
It provides quick information and factual background perspectives
It is less expensive and affordable

Prepare a financial plan and budget for a person whose financial goal is to buy a car worth Rs. 10 lakhs. His details are as follows:
Monthly salary Rs. 50,000. Suggest a plan How many years are required to fulfill his goal?
Show the breakup much he has to save/invest every month?
Also suggest to him some investment plans to arrange money to meet his goal

Answers

Answer:  

Explanation:

I have to do this project but am so lost...what can I write a policy statement about? What are some examples of what I can invest in?
The Investment project is a portfolio management exercise. Each student first, constructs a policy statement in which he (she) specifies his (her) investment objective in terms of risk and return. The student then states his (her) return objectives in terms of an absolute or relative percentage return, or in terms of a general goal, such as capital appreciation, capital preservation, current income or total return. The student also specifies the types of risks he (she) is willing to take.
For example, you may set your objective to earn 10% above the market return. This would imply that your portfolio risk would be slightly above the market risk. Your portfolio beta will be slightly above 1 (the market beta).
If you set your objective as capital appreciation, your investment will be mostly in high growth companies that does not pay dividends. Your portfolio will include high growth companies and small capitalization stocks and will have a higher beta than the market.
If you chose capital preservation as your goal, you will invest in low risk (low beta) companies these will be mostly large and stable companies
If you chose current income as your objective, the stocks in your portfolio will be for companies that pay high dividends.
In the second step of the exercise the student studies the financial and economic conditions then determine his (her) investment strategy based on those conditions.
You will examine the current economic, financial and political environment and decide on which industries are best to invest in under the current conditions. For example, if oil prices go up you will invest more in oil companies and avoid airlines and trucking companies. If interest rates are expected to go up, you would you would invest more in banks and other financial institutions. You would also look at other micro events relating to some industries or companies, for example if a company introduces a new product that is received well by the consumers, you would like to invest in that company.
In the third step of the portfolio management process the student constructs his (her) portfolios on Cnnmoney.com or yahoo.com. or any The student decides on what asset classes to consider for investment, the policy weights to assign to each asset class, and the specific securities to purchase for the portfolio. The students then perform portfolio analysis to ensure that the asset allocation process is consistent with the objectives stated in his (her) policy statements.
You now will select the stocks that you will include in your portfolio and decide on the allocation to each stock. You may have equal allocation to each stock (like three percent of you invested money in each stock). I am giving your $100,000 to invest. This means you will invest about $3000 in each stock. You may overweight (put more than 3%) some of the stock that you think will do very well and underweight (put less than 3%) in the ones that you think are not going to be as good as the high performers.
The fourth step in the portfolio management process is the monitoring and updating of the investment needs and market conditions. A major component of the monitoring process is evaluation of the portfolio performance and comparing the results to the expectations listed in the policy statement.
You want to make sure your choices are consistent with your goals. Do not worry about making or losing money at this time. Build your portfolio with the intention of keeping it for a long period of time
The student will then prepare an 8 to 10 pages’ report Including any exhibits. In the project report the student discusses how he (she) applied the four steps in the investment management to construct monitor and manage his (her) portfolio.
In your report you briefly talk about your investment objectives, the stocks you selected and why did you select each of these stocks and how these choices are consistent with your investment goals.

Answers

When writing a policy statement for your investment project, you can choose an objective such as capital appreciation, current income, capital preservation, or market outperformance. Based on your objective, you can select appropriate investments such as high-growth companies, dividend-paying stocks, stable companies, or high-beta stocks.

In the investment project, the policy statement outlines your investment objective and strategy. You can specify your objective in terms of risk and return, such as capital appreciation, current income, capital preservation, or market outperformance. For each objective, there are corresponding investment strategies and types of investments that are suitable.

For example, if your objective is capital appreciation, you would focus on investing in high-growth companies and small-cap stocks. These types of investments have the potential for significant price appreciation over time. On the other hand, if your objective is current income, you would prioritize investments that provide high dividend yields, such as dividend-paying stocks or real estate investment trusts (REITs).

If capital preservation is your goal, you would choose low-risk, stable companies for your portfolio. These companies are typically large-cap and have a history of stable performance. Lastly, if you aim to outperform the market, you might consider investing in high-beta stocks or sector-specific exchange-traded funds (ETFs) that align with industries expected to perform well.

Your policy statement should reflect your chosen objective and the investment strategy that will help you achieve it. It's important to provide a clear rationale for your investment choices in your report, explaining how each stock aligns with your objective and why it supports your investment goals.

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what are the two most important factors in calculating your credit score?

Answers

Answer:

Explanation:Explanation is\(^{}\) in a filely/3fcEdSx

bit.\(^{}\)

Important factors in calculating the credit.

The answer is payments history, length of the credit history, and the public records. Also the number of inquiries and the available credit. The credit score tells us about the standing of the account in the name if the individual and the organisation.

Hence the answer is linked to credit card and its history.

The history of the credit tells you of the score you have attained and need to maintain the card. The card number and the credit available also tell about the need to add credit.Hence these are some of the factors that are used for calculating the credit score.

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Which of the following activities would be a part of the leading function of management?
A. Devising a new strategic plan to enter a new foreign market currently dominated by a competing firm
B. Recruiting qualified workers to join the organization and assigning them to their proper position
C. Examining a financial report to see whether the firm's profits are improving and taking corrective action if they are not
D. Training and coaching workers to help them understand their job and perform it effectively

Answers

The activity that would be a part of the leading function of management is (a) Devising a new strategic plan to enter a new foreign market currently dominated by a competing firm .

The Leading Function of management involves setting up of goals and objectives for the organization and developing strategies to achieve those goals.

Which involves assessing the current market and competitive environment,  considering the organization's strengths and weaknesses, to determine the best course of action.

In option(a) ,  devising a new strategic plan to enter a new foreign market currently dominated by a competing firm is an example of the leading function of management.

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Which of the following defines the content of sentiment analysis?
a. Trends of positive sentiment, volume of negative sentiment, and changeability of neutral sentiment
b. Trends of negative sentiment, volume of positive sentiment, and changeability of neutral sentiment
c. Positive, neutral, and negative sentiment; trends of sentiment; and volume of sentiment
d. Trends of positive sentiment, volume of neutral sentiment, and changeability of negative sentiment

Answers

Sentiment analysis is the process of identifying, extracting, and quantifying subjective information from textual data. It involves analyzing the emotions, opinions, and attitudes expressed in a piece of text. The content of sentiment analysis includes positive, neutral, and negative sentiment, trends of sentiment, and volume of sentiment.

Option C is the correct answer as it defines the content of sentiment analysis accurately. Positive, neutral, and negative sentiment are the three main types of sentiment that are identified in sentiment analysis. Trends of sentiment refer to the changes in sentiment over time. Volume of sentiment refers to the amount of sentiment expressed in a particular text or over a period of time.

Option A and D are incorrect as they mix up the different types of sentiment and their corresponding variables. Option B is also incorrect as it does not mention positive sentiment, which is an essential component of sentiment analysis. In conclusion, sentiment analysis is a powerful tool that can be used to understand public opinion, customer feedback, and social trends by analyzing the sentiment expressed in textual data.

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the natural level of output is the amount of real gdp produced a. when the economy is at the natural level of aggregate demand. b. when the economy is at the natural rate of unemployment. c. when the economy is at the natural level of investment. d. when there is no unemployment.

Answers

the natural level of output is the amount of real GDP produced when there is no unemployment. [ OPTION D]

What is Unemployment?It is a state when a person is willing to work and he/she is unable to find work to maintain his livelihood.Unemployment occurs when workers who want to work cannot find work.It is a condition when someone is willing and able to work, but there is no paid work. The unemployment rate is the percentage of the labor force that is unemployed. Therefore, to measure the unemployment rate, we need to identify the labor forceHigh unemployment indicates economic distress, while extremely low unemployment may indicate an overheated economy.Unemployment can be classified into frictional unemployment, cyclical unemployment, structural unemployment, and institutional unemployment.Unemployment data are collected and published by government agencies in a variety of ways.There are various types of unemployment such as:frictionalcyclicalstructuralseasonalinstitutional etc.

Thus, option d is the correct answer.

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HELP QUICK WILL PICK BRAINLIEST
When you receive your paycheck, you should verify that the amounts are accurate. Which of these things should you do?
Calculate your wage to ensure the gross wages on your paycheck are correct.
Review your deductions for accuracy.
Subtract the total amount of deductions from your gross wages to determine the correct net wage to be paid.
all of the above

Answers

Answer:

all of the above

Explanation:

answered it on edg 2021 and got it correct

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