Period Cost (C) Price Profit1 st period
X 2.44C
3.66C
1.22C
Y2.25C
3.375C
1.125C
2nd period
X1.4641C
1.6064C
0.1464C
Y1.21 C
1.331C
0.121C
According to Ricardo, the glut could be removed by:(i) the increase in wages of workers(ii) more taxes on profits(iii) by exportation.The economic progress will halt at the point of diminishing returnsExplanation:
Given that,There are two commodities X and Y.Total amount of labor required by X and Y = 400 units. Labor is made up of present labor (Pr) and past labor (P).
The ratio for X Pr:P- 1:3 and for Y Pr:P - 3:1.By utilizing all the labor, we can produce 100 units of both the commodities.
To produce 100 units of X we need a uniform rate of capital accumulation for 4 years, and to produce 100 units of Y we need accumulation for 2 years.
The economy is divided into 2 periods.
Period 1: Where wages - $1 and Profits - 50%
Period 2: Where wages $ 2 and profits 10%.
Let us first calculate the labor required by commodity X and commodity Y using the following formula:
Total labor required for
X = 1x + 3(1)P
= x + 3P
Total labor required for
Y = 3x + 1P
Using all labor, we can produce 100 units of both commodities.
∴ X + 3P + 3X + P
= 400X + 2P
= 100 …(1)
4X + 2P = 100 …(2)
By solving eq (1) and (2), we get:
X = 50/3P
= 50/3
Hence,
Total labor required for,
X = (50/3) + (3/1)
= 59.33
Total labor required for
Y = 3(50/3) + 1(3)
= 52
Now, we need to calculate the rate of capital accumulation required to produce 100 units of commodity X and Y:
To produce 100 units of X, uniform rate of capital accumulation for 4 years is required,
∴ Y= C(1+r)⁴ …(3)
To produce 100 units of Y, uniform rate of capital accumulation for 2 years is required,∴
Y = C(1+r)² …(4), Where C is the capital, and r is the rate of accumulation.
Substituting (3) and (4) in eq(2), we get:
C(1+r)⁴ + C(1+r)² = 100
⇒ C(1+r)² (1+r)² + (1+r)² = 100
⇒ C(1+r)² = 100/(1+r)⁴ …(5)
The profit earned in the 1st period and 2nd period are calculated as follows:
Period 1
Wages = $1
Profits = 50%
Commodity X:The cost of producing 100 units of X is,
= C (1+r)⁴
= C(1+0.5)⁴
= C x 1.5⁴
= 2.4414C
Profit on X = 50% of the cost
= 1.22C
Price of X = cost of X + profit on X
= 2.44C + 1.22C = 3.66C
Commodity Y:The cost of producing 100 units of Y is
= C(1+r)²
= C(1+0.5)²
= C x 1.5²
= 2.25C
Profit on Y = 50% of the cost = 1.125C
Price of Y = cost of Y + profit on Y
= 2.25C + 1.125C = 3.375C
Period 2:
Wages = $2
Profits = 10%
Commodity X: The cost of producing 100 units of X is,
= C (1+r)⁴
= C(1+0.1)⁴
= C x 1.1⁴
= 1.4641C
Profit on X = 10% of the cost
= 0.1464C
Price of X = cost of X + profit on X
= 1.46C + 0.1464C = 1.6064C
Commodity Y:The cost of producing 100 units of Y is,
= C(1+r)²
= C(1+0.1)²
= C x 1.1²
= 1.21C
Profit on Y = 10% of the cost = 0.121C
Price of Y = cost of Y + profit on Y
= 1.21C + 0.121C = 1.331C
Thus, prices and profits behavior over a period of time as follows: Prices and profits behavior over a period of time
Period Cost (C) Price Profit1 st period
X 2.44C
3.66C
1.22C
Y2.25C
3.375C
1.125C
2nd period
X1.4641C
1.6064C
0.1464C
Y1.21 C
1.331C
0.121C
Ricardo's solution to remove gluts from society: According to Ricardo, the glut could be removed by:(i) the increase in wages of workers(ii) more taxes on profits(iii) by exportation
Where will the economic progress halt?
The economic progress will halt at the point of diminishing returns. Diminishing returns occur when an increase in inputs leads to a less-than-proportional increase in output because one factor is limited. This happens when additional units of labor (and capital) are added to a fixed amount of land (or natural resources).
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If you were trying to explain measures of central tendency to someone with a limited statistical background, how would you do it? When is each of the measures most appropriately utilized and what are some of the potential problems with the different measures? Which of these measures was most familiar to you before reading the course material for this week?
Answer:
Central tendency includes concepts like mean, median, mode, upper and lower limit, variance, standard deviations etc
Explanation:
mean is the total average of all the datapoints.
median is the middle value which separates the higher points and the lower datapoints.
mode is the highest data point from the dataset.
standard deviation is the variation from the trend observed in the dataset and all the
Will the grading period effect what college you will go to later on?
A (True)
B (False)
Answer: A
Explanation:
Answer:
NO
Explanation:
you invest $100,000 in only one stock. to which kind of risk will you primarily be exposed? portfolio risk stand-alone risk
When you invest $100,000 in only one stock, you will primarily be exposed to Stand-alone risk. Option A.
Standalone risk is the risk posed by a particular project, division, or asset. It assesses the risks connected to a particular aspect of a business's operations or the hazards associated with owning a particular asset, such as a closely held corporation.
A company can assess a project's risk as an independent entity by computing standalone risk. If those operations were to end, there would be no risk. In the management of portfolios, standalone risk quantifies the risk associated with a single asset that cannot be mitigated by diversification.
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The complete question is:
You invest $100,000 in only one stock. What kind of risk will you primarily be exposed to?:
a) Stand-alone risk
OR
b) Portfolio Risk
Foundations Required bearing area of a rectangular footing is calculated by: A. Squaring the applied force B. Dividing the applied force by the allowable soil bearing pressure C. Multiplying the force times the height of the applied load D. None of the above
B. The required bearing area of a rectangular footing is calculated by dividing the applied force by the allowable soil bearing pressure. This is done in order to ensure that the foundation can adequately support the weight of the structure above it without sinking or settling.
The allowable soil bearing pressure is a measure of how much weight the soil can support per unit area without undergoing excessive settlement. By dividing the applied force by this value, the required bearing area of the footing can be determined, which will in turn determine the size and shape of the foundation that is needed to support the structure. Squaring the applied force or multiplying it by the height of the applied load would not provide an accurate calculation of the required bearing area.
This formula ensures that the footing size is adequate to distribute the force applied to it without exceeding the allowable pressure on the soil, thus providing a stable foundation for the structure.
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every year, alice gets a raise of $3000 plus 5% of her previous year's salary. her starting salary is $50000. what is her salary in the third year?
If Alice gets a raise of $3000 plus 5% of her previous year's salary, then Alice salary in the third year would be 67338.
Explanation of the above answer
S (0) is her first salary which is $50,000
S (1) would be her next salary.
To find this, we take her previous salary ($50,000) and add 5% (.05*$50,000) + $3000
This is equivalent to S (1) =S (0) +.05(S(0))+3,000
S (1) = $50000 + 2500+3000 = $55500
similarly, S (2) = 61275
and S (3) = 67338
Hence, salary in the third year would be 67338
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Please help I'm about to fail my class and i will be grounded for life, 100 pts for it! its financial literacy
Part One–Research
Imagine you bought 100 shares of stock three years ago and are selling it today. Select a company and research its stock prices. You can start with websites like Nasdaq and Fidelity. Determine the stock's price three years ago, or the purchase price, and its price today, or the selling price.
Part Two–Determine the Real Return
Calculate the real return of your stock investment using the following information:
Purchase price of 100 shares of stock
Selling price of 100 shares of stock
10% tax rate
3% inflation rate
2% administrative fee on the selling price of the stock
Part Three–Evaluate
Analyze your research and calculations, and answer the following questions:
What company did you select to buy stock in? Why did you select the company?
Consider the real return of the stock investment. Do you consider it a wise investment? Why or why not?
1. I imagine buying 100 shares of Amazon.com Inc. on January 3, 2020, when the stock price was $93.75, investing $9,375.
Today, October 31, 2022, the stock price of Amazon.com Inc. is $102.44.
2. The real return on my investment in Amazon.com Inc was a net loss of 7.12% or $667.60.
3. The company I selected to buy its stock three years ago was Amazon.com Inc.
4. I decided on Amazon.com Inc., hoping to earn spectacular returns since it is a multinational technology company.
5. When I consider the actual return on the stock investment in Amazon.com Inc., I think it was an unwise investment.
6. The investment returned a negative real value because I realized less than I initially invested; I actually lost about $667.60 overall.
What is the stock investment?Stock investment is the purchase of shares for an ownership interest in a publicly-listed company.
The investor makes the investment with the hope that the investee will grow and perform well over some period, enabling the investor to earn some real returns (in the form of dividends and capital appreciation).
Purchase of 100 shares Jan. 3, 2020 = $9,375 (100 x $93.75)
Sales of 100 shares Oct. 31, 2022 = $10,244 (100 x $102.44)
Tax (10%) = $1,024.40 ($10,244 x 10%)
Inflation (3%) = $307.32 ($10,244 x 3%)
Administration fee on sales (2%) = $204.88 ($10,244 x 2%)
Real Returns in dollars = $8,707.40 ($10,244 - $1,024.40 - $307.32 - $204.88)
Loss on returns = $667.60 ($8,707.40 - $9,375)
Loss percentage = 7.12% ($667.60/$9,375 x 100)
Unfortunately, Amazon.com Inc. did not pay any dividends during the period of my investment, and I really lost funds to taxes, inflation, and administration fees when I sold it.
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Environmental scanning is the act of analyzing the critical external contingencies facing an organization in terms of:
Answer:
Economic conditions, competitors, and customers.
Explanation:
Environmental scanning is the act of analyzing the critical external contingencies facing an organization in terms of economic conditions, competitors, and customers.
Environmental scanning is a management strategy that focuses on systematically acquiring informations about occasions, trends, events or patterns through surveys and analysis of these information in an organisation's external and internal environment. The informations acquired through environmental scanning is then used by the executive management in strategically planning the organisation's future and exploitation of available opportunities for the success of the organization.
The internal environmental scanning offers an organization strength and weakness while the external environmental scanning provides information about opportunities and threats.
Generally, the external environmental scanning gives an overview of the opportunities in the market as well as potential threats to an organization.
In what type of economy do individuals and firms determine what will be produced?
Mixed
Traditional
Market
Command
Answer:
market
Explanation:
short-term exposure to exchange rate risk can be reduced by importing raw materials and using
Short-term exposure to exchange rate risk can be reduced by importing raw materials and using hedging strategies.
Importing raw materials can help reduce exchange rate risk because it allows business to diversify their sourcing and avoid relying solely on domestic suppliers.
importing raw materials from different countries, businesses can take advantage of favorable exchange rates and potentially mitigate the impact of currency fluctuations.
Additionally, hedging strategies can be employed to manage exchange rate risk in the short term. Hedging involves taking positions in financial instruments that offset the potential losses from adverse currency movements. For example, businesses can use currency forward contracts, s, or futures contracts to lock in exchange rates for future transactions and protect themselves against unfavorable currency fluctuations.
By combining the use of imported raw materials with hedging strategies, businesses can reduce their vulnerability to short-term exchange rate volatility. However, it's important to note that hedging strategies come with their own costs and considerations, and they may not completely eliminate exchange rate risk. Long-term exposure to exchange rate risk may require additional strategies such as establishing foreign subsidiaries, implementing pricing adjustments, or considering currency diversification in the company's operations.
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Match the following statements to the results these actions have had on the labor market participation rate of men or women.
increases women's labor force participation rate: reduction in social barriers to women working, increase in proportion of workforce for traditional female-dominated jobs in education and health care, increase in availability of preschools, invention of labor-saving devices, such as vacuum cleaners and dishwashers
decreases women's labor force participation rate: women staying in school longer, increase in women caring for aging parents
decreases men's labor force participation rate: men staying in school longer, men living longer, men increasingly likely to stay home to care for children, reduction in proportion of workforce for traditionally male-dominated manufacturing jobs
The various factors have different effects on labor force participation rates for men and women.
1. Factors that increase women's labor force participation rate include a reduction in social barriers to women working, an increase in the proportion of workforce for traditional female-dominated jobs in education and health care, an increase in the availability of preschools, and the invention of labor-saving devices, such as vacuum cleaners and dishwashers.
2. Factors that decrease women's labor force participation rate include women staying in school longer and an increase in women caring for aging parents.
3. Factors that decrease men's labor force participation rate include men staying in school longer, men living longer, men increasingly likely to stay home to care for children, and a reduction in the proportion of the workforce for traditionally male-dominated manufacturing jobs.
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Which of the following is a difference between an exchange traded fund (ETF) and a mutual fund?
a.An ETF is a hybrid security, whereas a mutual fund is not a hybrid security.
b.An ETF can only be traded at the end of the day, whereas a mutual fund can be bought or sold throughout the trading day.
c.An ETF is a convertible security, whereas a mutual fund is a non-convertible security.
d.An ETF is a fixed income instrument, whereas a mutual fund is a variable income instrument.
e.An ETF provides more favorable tax treatment than a mutual fund.
The main difference between an exchange traded fund (ETF) and a mutual fund is that an ETF can be bought or sold throughout the trading day, whereas a mutual fund can only be traded at the end of the day.(B)
In more detail, ETFs and mutual funds are both types of investment funds, but they differ in how they are traded. An ETF is a hybrid security that can be bought and sold on an exchange throughout the trading day, just like individual stocks.
This allows for increased liquidity and flexibility for investors. On the other hand, a mutual fund is not a hybrid security and can only be bought or sold at the end of the trading day at its net asset value (NAV).
This difference in trading mechanism is what sets ETFs and mutual funds apart. The other options provided (convertible security, fixed/variable income instruments, and tax treatment) are not the primary differences between ETFs and mutual funds.(B)
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Workplace diversity describes differences among workers in any of the following areas:
attitude
education
ethnicity
industry
Answer:
industry because here based the all the business in whole world
in many product categories, 20 percent of the people (heavy users) consume 80 percent of the product. marketers who base their marketing efforts on reaching this 20 percent of heavy users are practicing segmentation.
In several product categories, 20% of consumers (high users) use 80% of the product. Volume segmentation is a technique used by marketers whose campaigns are based on attracting this 20% of frequent customers.
Volume segmentation refers to the split of a market into segments based on the volume of variable demand for the product by people, groups, or different categories of customers; often, the segments are rated to imply heavy, medium, or light consumption.
The term "segmentation" refers to the division of a market into distinct, actionable, profitable, and portions with room for expansion. To put it another way, due to limitations on time, money, and effort, a Volume segmentation corporation would not be able to target the entire market. It must have a "definable" segment—a large group of customers who can be located and targeted with a fair amount of effort, expense, and time.
With hundreds of products, a proliferation of media, ad fatigue, and general economic issues across the globe markets, Volume segmentation assumes significant importance in today's congested market. A company's ability to successfully segment the market might mean the difference between success and closure.
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The complete question is
In many product categories, 20% of the people consume 80% of the products. Marketers who base their marketing efforts on reaching this 20% are practicing ____ segmentation.
Which type of chart or graph shows data with distinct x and y values?
O a bar graph
O a scatter plot
O a line chart
O a pie chart
Answer:
A. a bar graph is the answer
What is another name for deposit?
Credit
Debit
demand
Memo
Answer:
Debit
Explanation:
Depositing money increases the bank balances in one's account. It is an increase in a person's assets. It is similar to debits. A debit entry increases assets. From an account holders' point of view, to deposit will be the same as to debit the account.
When the desired shade is reached, the lightener should be removed with:
A. a towel
B. warm water
C. hot water
D. cool water
End papers used in wrapping should be:
A. wet with neutralizer
B. porous
C. non-porous
D. wet down as you work
When the desired shade is reached, the lightener should be removed with B. warm water.
End papers used in wrapping should be C. non-porous.
What is warm water and non-porous. ?Warm water will help to rinse away the lightener and any remaining product residue without damaging the hair or scalp.
Non-porous end papers are designed to prevent hair color or lightener from bleeding through and staining the surrounding hair, while also helping to keep the hair in place during the wrapping process. Porous end papers, on the other hand, may allow product to seep through and can create an uneven or patchy color result. The end papers should be dry and not wet with neutralizer or any other product.
Therefore the correct options are B,C.
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The process of working with people and resources to accomplish organizational goals is called. entrepreneurship management O controlling modeling
The process of working with people and resources to accomplish organizational goals is called Management. Management involves planning, organizing, coordinating, and controlling various activities within an organization to achieve desired outcomes. It encompasses tasks such as setting objectives, allocating resources, making decisions, leading and motivating employees, and monitoring progress towards goals.
Entrepreneurship, on the other hand, refers to the process of identifying opportunities, taking risks, and starting new ventures. While entrepreneurship involves elements of management, it specifically focuses on the creation and development of new businesses.
Controlling and modeling are important functions within the realm of management but do not encompass the entire process. Controlling involves monitoring performance, comparing it to established standards, and taking corrective actions as needed. Modeling, in the context of management, can refer to creating models or frameworks to understand and predict organizational behavior and outcomes. management is the process of working with people and resources to accomplish organizational goals, encompassing various functions such as planning, organizing, coordinating, and controlling.
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What is the standard deduction for marry filing joint for tax year 2017?
Answer: $12700
Explanation:
Standard deduction refers to the portion of income that's not being subjected to tax which can be used in the reduction of the tax bill. It should be noted that the amount of one's standard deduction will be based on the age, filing status, age, as well as some other criteria.
For taxpayers who don’t itemize, it should be noted that the 2017 standard deduction depends on the filing status and this include:
Single = $6,350
Married Filing Jointly = $12,700
Married Filing Separately = $6,350
Head of Household = $9,350
Qualifying Widow(er) = $12,700
Question 27 pts OSHA, the Occupational Safety and Health Administration, has notified you that your company is legally required to install safety rails around the large vats of chemicals in your factory. You need to follow their order so that you are: Group of answer choices in compliance. licensed. insured. contracted.
how would Americans cover a $400 emergency? personal finance answers
Answer: Sixty-eight percent of all adults said they would have covered the expense exclusively using cash, savings or a credit card paid off at the next statement. One in 9 even reported they wouldn't be able to cover a $400 emergency expense whatsoever
Explanation:
What do most business people think is the primary purpose of business?
A. To fix the problems of society
B. To invest all profits back into the business
C. To protect private property
D. To generate wealth
The most business people think generating wealth is the primary purpose of business. Therefore, option D is the correct option.
What is business?Businesses are economic activities. The activity of the business is performed by the people either in order to make money or to make simply a living. The activity of the business is performed by manufacturing goods, producing services, buying, and selling.
The major purpose of business is to earn profits. However, some businesses are in social service as well, they produce goods and services for the betterment of the society and the environment. Also, corporate social responsibility, which is paid by the business to the government helps in many ways.
The majority of businesspeople believe that making wealth is the main goal of their industry. As a result, choice D is the best one.
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Corporate executives often object to the use of open-source software because it lacks formal technical support, even though information and solutions regarding the software are usually readily available online.
A. True
B. False
Answer:
A. True
Explanation:
When the open source software used by the corporate executives so it would be lead to the lacking of technical support i.e. formal also the information and its solutions would be available online
So the given statement is true as the open source software deals with the source code that should be released in a license where the copyright holder would granted the users to have the right to use the same
When you purchase shares of a company in the market, who are you buying those shares from?
Answer:
Normally, you are buying those shares from someone who already owns them. You are not buying them directly from the company itself, but instead someone who owns shares from the company, called a shareholder or stockholder.
Explanation:
I hope this helps! :)
Describe the Calvin Cycle.
Describe how the Na+-K+ pump and the K+-Na+ leak channels function to polarize a nerve cell membrane such that it attains its characteristic – 40 to – 90 mV resting potential.
The Calvin Cycle is a series of biochemical reactions that occur in the stroma of chloroplasts during photosynthesis. It is the second stage of photosynthesis and involves the conversion of carbon dioxide (CO₂) into glucose. The cycle utilizes the energy from ATP and NADPH, which are produced in light-dependent reactions, to synthesize glucose molecules.
The Na+-K+ pump and K+-Na+ leak channels play a crucial role in establishing and maintaining the resting potential of a nerve cell membrane. The Na+-K+ pump actively transports sodium ions (Na+) out of the cell while pumping potassium ions (K+) into the cell against their concentration gradients. This process requires ATP energy. By doing so, the pump helps maintain a higher concentration of K+ inside the cell and a higher concentration of Na+ outside the cell, resulting in an electrochemical gradient.
The K+-Na+ leak channels, on the other hand, provide a passive pathway for K+ ions to leak out of the cell and Na+ ions to leak into the cell. This leakage occurs due to the concentration gradients established by the Na+-K+ pump. The net effect is the polarization of the nerve cell membrane, with the inside becoming negatively charged relative to the outside. This polarization creates the characteristic resting potential of the nerve cell, typically ranging from -40 to -90 mV.
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dogz reports total revenue of $47,561, cost of goods sold of $32,856 and net receivables of $19,595. their property, plant and equipment is $19,813 and they have $16,240 of inventory. if they operate 300 days a year, how long does the average item stay in inventory?
The calculation of the average number of days an item stays in inventory involves determining the average value of inventory and the cost of goods sold per day.
To obtain the average value of inventory, we first need to calculate the beginning of the year inventory. We can start by calculating the gross profit, which is the difference between total revenue and cost of goods sold. Gross profit = Total revenue - Cost of goods sold = $47,561 - $32,856 = $14,705. Next, we can calculate the net profit before taxes, which is the difference between gross profit and operating expenses. In this case, we don't have information on the operating expenses, so we'll consider only the gross profit. To calculate the beginning of the year inventory, we can use the formula:
Beginning of the year inventory = (Total revenue - Gross profit + Net receivables) / 2
Beginning of the year inventory = ($47,561 - $14,705 + $19,595) / 2 = $23,059
Finally, we can find the average value of inventory by adding the ending inventory to the beginning of the year inventory, and then dividing by 2:
Average inventory = (Ending inventory + Beginning of the year inventory) / 2
Average inventory = ($16,240 + $23,059) / 2 = $19,649
Next, to determine the cost of goods sold per day, we can divide the total cost of goods sold by the number of days in a year:
Cost of goods sold per day = Cost of goods sold / Number of days in a year = $32,856 / 300 = $109.52
Finally, we can use the average value of inventory and the cost of goods sold per day to calculate the average number of days an item stays in inventory:
Average number of days an item stays in inventory = Average inventory / Cost of goods sold per day = $19,649 / $109.52 = 180 days.
So, the average item stays in inventory for 180 days.
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A bachelor's degree is earned at a ___.
O A. technical school
O B. four-year college
O C. vocational school
O D. two-year college
Answer: four year college
Explanation: online
A bachelor's degree is a four-year undergraduate degree that is typically earned at a four-year college or university. Hence option B is correct .
When A bachelor's degree is earned ?This degree is widely recognized as a standard credential for entry into many professional careers and is often a requirement for many higher-paying jobs.
The curriculum for a bachelor's degree program is typically divided into two parts: general education requirements and major requirements. General education courses provide students with a broad range of knowledge in subjects such as mathematics, science, literature, history, and social sciences.
Major courses focus on a specific area of study and provide students with the specialized knowledge and skills needed to excel in their chosen field.
While some technical schools and vocational schools may offer bachelor's degree programs, these are relatively rare.
Technical schools and vocational schools typically offer more specialized training in specific trades or industries, and degrees earned from these institutions are often associate degrees or certificates.
In contrast, two-year colleges, also known as community colleges, typically offer associate degrees, which can be earned in two years. These degrees are often designed as transfer degrees, allowing students to complete their general education requirements before transferring to a four-year college or university to complete their bachelor's degree.
Overall, a bachelor's degree is typically earned at a four-year college or university and is a valuable credential for those seeking to enter many professional careers.
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Using the data, calculate the percentage change in quantity demanded following a £3 increase in the price
of salt pipes. You are advised to show your working,
Answer:
idk sry
Explanation:
Elen holds 1,000 shares of fizbo inc. stock that she purchased 11 months ago. the stock has done very well and has appreciated $20/share since helen bought the stock. when sold, the stock will be taxed at capital gains rates (the long-term rate is 15 percent and the short-term rate is the taxpayer's marginal tax rate). ignore the time value of money.
Answer:
Question option include: a. if Helen's marginal tax rate is 35 percent, how much would she save by holding the stock an additional month before selling? b. what might prevent Helen from waiting to sell?
Solution
Per share increase in price = $20
No of shares = 1000
Total capital gain = 1000 * $20 = $20,000
Tax rate if hold for one year more = $20,000 * 15% = $3,000
If sold immediately and taxed as short term capital gain, then = $20,000 * 35% = $7,000
So if shares are held for more than a month a tax of {($7000 - $3000) = $4,000} can be saved.
b In a month shares prices may fall and capital appreciation would be reduced and this will increase the risk associated with the investment and she will not to wait for the liquidity for a month more.
kb. chicago co. is interested in purchasing a machine that would improve its operational efficiency. the cost is $200,000 with an estimated residual value of $20,000 and a useful life of eight years. cash inflows are expected to increase by $40,000 a year. the company's minimum rate of return is 10 percent. the net present value of the project is group of answer choices 120,100 $74,520 $22,727 some other answer 93,400
The company's minimum rate of return is 10 percent. the net present value of the project is40,000*5.335 + 20,000*0.467 - 200,000 = 22740.
A venture is any undertaking, achieved personally or collaboratively and probable involving studies or design, this is carefully planned to achieve a specific purpose. An opportunity view sees a project managerially as a chain of events: a "set of interrelated duties to be completed over a set length and within sure fee and other obstacles". A undertaking can be a brief (rather than a everlasting) social gadget (paintings gadget), probable staffed through groups (within or throughout agencies) to perform specific tasks under time constraints.
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what is business ? please tell us
Answer:
Noun, a person's regular occupation, profession, or trade.
Explanation: