The correct answer is b.
The transaction is registered in France balance of payments as a debit in the current account (due to the import of goods) and as a credit in the financial account (due to the deposit of money in a French bank by the Italian wine producer).
Current Account-The current account balance (CAB) is part of a country's financial inflow and outflow record. It is part of the balance of payments, the statement of all transactions made between one country and another.
Capital Account-A country's capital account records all international capital transfers. The income and expenditures are measured by the inflow and outflow of funds in the form of investments and loans. A deficit shows more money is flowing out, while a surplus indicates more money is flowing in.
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(10) Acme is considering expanding their remote packaging facility. After-tax cash flows (ATCF) for their primary alternative are presented in the table below. If the general price inflation rate (f) is estimated to be 4.3% per year during the 6-year analysis period, what is the real-dollar ATCF that is equivalent to the actual-dollar ATCF on 4th year? The base time period is year zero (b=0). End of Year ATCF (A$) 0 -380,000 70,000 120,000 120,000 180,000 180,000 180,000 1 2 3 4 (a) 108863 (b) 106761 (c) 260761 (d) 152102
We must account for the general price inflation rate (f) across the analysis period in order to determine the real-dollar after-tax cash flow (ATCF) that is equivalent to the actual-dollar ATCF in the fourth year.
First, let's determine the fourth year's cumulative inflation factor (IF): IF = (1 + f)^4 = (1 + 0.043)^4 = 1.184243 The real-dollar equivalent is then calculated by dividing the actual-dollar ATCF in the fourth year by the cumulative inflation factor: Actual-dollar ATCF / IF = Real-dollar ATCF Real-dollar ATCF equals 180,000 / 1.184243 152,102 As a result, the actual-dollar ATCF in the fourth year is about similar to $152,102 in real dollars. The right response is (d) 152,102.
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How do you give brainliest?
I cant figure it out.
Answer:
for example, click the crown next to my question :)
Explanation:
What is an example of a flame?
The definition of a flame is burning gas, fire or blaze, or a strong passion. An example of a flame is a fire from a lighter. An example of a flame is an intense desire for a particular person. Flame is defined as to burn or light up, or to criticize harshly.
Answer: A flame is a very negative review that can seriously damage sales.
So if one of the choices has a bad review of an issue, like apartment maintenance getting a bad review, it is that answer.
Explanation: A pex
Stock Y has a beta of 1.45 and an expected return of 16.3 percent. Stock Z has a beta of .90 and an expected return of 12.6 percent. What would the risk-free rate have to be for the two stocks to be correctly priced relative to each other?
Answer:
risk free rate= 6.55%
Explanation:
expected return= risk-free rate +Beta*(Market rate- risk-free rate )
Stock Y
16.3=Rf+1.45(Rm-Rf)
16.3=1.45Rm-0.45Rf
Rm=(16.3+0.45Rf)/1.45
Stock Z
12.6=Rf+0.9*(Rm-Rf)
12.6=0.9Rm+0.1Rf
12.6=0.9(16.3+0.45Rf)/1.45+0.1Rf
risk free rate=(12.6-10.11724138)/(0.279310344+0.1)
risk free rate= 6.55%
Why is gum so cheap?
Answer:
its an expendable resource
Explanation:
what is the significance of price elasticity of demand to a producer
Answer:
See the explanation below
Explanation:
Significance of price elasticity of producers:
useful in pricing decisionswhen demand is elastic, firms have to reduce their price to earn more revenuewhen demand is inelastic firms need to raise prices to earn more revenueDo you think lance is right to be concerned about leroy's plan for growth
Answer:
yes
please mark as brainliest
calculate the average of each of the following. speed per hour during a three-hour trip: 65 MPH, 55 MPH, 45 MPH
Answer:
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why would a business ower lower the price of a product
Answer:
he would do so becaus the canadiens wer smugling syrup and it was making trhe price go yeet, so ppl who didnt sell at thaat price had to lower or go ot of business!1
Explanation:
Answer: A business owner may lower the price of a product if there isn't enough demand or as a promotion. A business owner's price for their products/services should only be what consumers would pay for. If they aren't willing to pay the expensive price, they should lower it. The owner may also lower the price as part of a sale to attract customers or to get rid of the product.
I hope this helped!
Good luck <3
Specialization can help a countrys evonomy by?
Answer:
cumc7 k cgujmcyvuumvcuimbcghikmvcchimnvcikmvvhhjknnccyu I mcumcukgggbhhgfff
Postal service shows the national identity of country. Justify.
The net-debtor status, that the United States achieved in its balance of international indebtedness by the mid-1980s, reflected the continuous current-account surplus that the United States attained in its balance of payments during the 1970s.
A) True
B) False
The statement given is false. The net-debtor status achieved by the United States in its balance of international indebtedness by the mid-1980s did not reflect a continuous current-account surplus attained in its balance of payments during the 1970s.
To clarify, a net-debtor status refers to a situation where a country's external debt exceeds its external assets. In other words, the country owes more to foreign entities than it owns abroad. On the other hand, a current-account surplus refers to a situation where a country's exports of goods and services, as well as net income from abroad, exceed its imports and net income payable to foreign entities.
In the given statement, it suggests that the net-debtor status was a result of a continuous current-account surplus achieved during the 1970s. However, this is not accurate. The United States actually experienced a current-account deficit during the 1970s, meaning it imported more goods and services, and paid more income to foreign entities, than it exported and received as income from abroad.
The net-debtor status of the United States in the mid-1980s was primarily a consequence of its growing external debt, which had accumulated over time. Factors contributing to this included budget deficits, trade imbalances, and borrowing to finance domestic consumption and investment.
To summarize, the net-debtor status achieved by the United States in the mid-1980s did not reflect a continuous current-account surplus during the 1970s. Instead, it was a result of various economic factors that led to a growing external debt.
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Why is it important to maintain network relationships, even after you have found a job?
a. You never know when you are going to have to find a new job.
b. You can return the favor by helping network members with career advice and job leads.
You will remain informed and connected to people in your field.
d. All of the above
C.
Please select the best answer from the choices provided
ΟΑ
B
С
OD
Answer:
D (all of the above)
Explanation:
When a person has gotten a job, it is critical to keep network contacts since a person never know when he will need to locate a new career, and he will stay informed and connected to bin his sector.
What is network relationships?Relationship networking is another name for network relationships. It's all about making connections and finding ways for both sides to gain. Like the relationship, networking and partnerships intersect in numerous ways, resulting in economic potential.
Even when a person has gotten a job, it is critical to keep network contacts since you never know when you will need to locate a new career, and he will stay informed and connected to people in the sector.
With the utilization of network ties, an individual might refund the kindness by supplying career counseling and job metals to network members.
Therefore, option D is correct.
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the path to recovery using expansionary fiscal policy involves:
The path to recovery using expansionary fiscal policy involves: Expansionary fiscal policy is a type of macroeconomic policy that involves government intervention in the economy to increase economic activity and stimulate growth.
It is usually implemented during a period of economic downturn or recession to help revive the economy and create jobs. The path to recovery using expansionary fiscal policy involves an increase in government spending and/or a decrease in taxes. By increasing government spending, the government creates more jobs, which increases demand for goods and services. This increased demand then leads to an increase in production, which creates even more jobs and stimulates further economic growth. On the other hand, a decrease in taxes means that people have more money in their pockets, which they can use to buy goods and services. This increased spending then leads to an increase in demand, which, as discussed earlier, leads to an increase in production, more jobs and further economic growth.In conclusion, the path to recovery using expansionary fiscal policy involves an increase in government spending and/or a decrease in taxes to stimulate economic growth and create jobs.
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There are 150 people in one group and 120 in another. What would a common factor of 150 and 120 tell you about the ituation?
The response to this query is 30. The components of 120 are 1, 2, 3, 4, 5, 6, 8, 10, 12, 15, 20, 24, 30, 40, 60,
and respectively 1, 2, 3, 5, 6, 10, 15, 25, 30, 50, 75, 150. Therefore, the greatest common factor between 120 and 150 is 30.
The least common multiple between 120 and 150 can be found in what way?
When primary elements are multiplied by their corresponding highest power, like in the case of 23 31 52 = 600, the LCM of 120 or 150 could be found. As a result, 600 is indeed the Lowest common factor of 120 & 150 using prime factorization.
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A small business earns a profit of $6500 in January and $17,500 in May. What is the rate of change in profit for this time period? Explain.
The rate of change in profit for this period is 169.23%.
What is the rate of change?The rate of change shows the ratio or proportionality by which a value changes in relation to another.
We can determine the rate of change by dividing the difference in value by the former value and multiplying the quotient by 100.
Profit earned in January = $6,500
Profit earned in May = $17,500
Change in profit = $11,000 ($17,500 - $6,500)
Rate of change = 169.23% ($11,000/$6,500 x 100)
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which band embodied the lo-fi aesthetic? a. superchunk b. magnetic fields c. pavement d. guided by voices
The band that embodied the lo-fi aesthetic is Guided by Voices.
Guided by Voices is the band that epitomizes the lo-fi aesthetic. Lo-fi, short for "low fidelity," refers to a recording style that intentionally embraces a raw and unpolished sound quality. Guided by Voices, led by songwriter Robert Pollard, became known for their lo-fi approach in the indie rock scene during the 1990s. Their recordings often featured distorted guitars, imperfect vocals, and a DIY production style that emphasized the lo-fi sensibility.
The band's lo-fi sound became a defining characteristic of their music, creating an intimate and unfiltered experience for listeners. Their prolific output and unique lo-fi approach have earned them a dedicated following and significant influence within the indie rock genre.
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business organizational charts are often modeled as a hierarchical relationship. true or false? true false
True. Business organizational charts are often modeled as a hierarchical relationship.
This means that the chart depicts the different levels of authority and responsibility within the organization, with the topmost level being the highest level of authority and the bottommost level being the lowest level of authority. This hierarchy is typically based on factors such as job titles, seniority, and functional areas.
The hierarchical relationship depicted in the organizational chart is important because it helps to define the roles and responsibilities of different employees within the organization. It also helps to establish clear lines of communication and accountability, ensuring that everyone knows who they report to and who is responsible for making certain decisions.
However, it is important to note that not all organizations use a strict hierarchical structure. Some organizations, especially those that are more collaborative or agile, may use flatter structures that rely more on teamwork and shared decision-making. Nonetheless, even in these cases, there is typically some sort of organizational chart that outlines the relationships between different teams or departments within the organization.
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a question like, "what's the name of the waiter?" requires __________; a question like, "isn't that the guy we usually see on the bus?" requires __________.
A question like, "what's the name of the waiter?" requires factual knowledge or information. It assumes that the person being asked knows the answer to the question and that the answer can be easily retrieved from memory. On the other hand, the second type of question, "isn't that the guy we usually see on the bus?" requires confirmation or clarification.
In this case, the person being asked would need to recall the name of the waiter in order to answer the question. This type of question is often used to obtain specific information about a person, place, or thing.
It assumes that the person being asked may or may not know the answer to the question and that the answer requires some level of discussion or analysis. In this case, the person being asked would need to consider whether the person they are seeing is indeed the same person they usually see on the bus. This type of question is often used to confirm or clarify information that is uncertain or ambiguous.
The type of question being asked determines the type of knowledge or information required to answer it. Factual questions require specific information, while confirmation questions require a level of analysis and discussion to arrive at an answer.
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Please post detailed answers to the following questions. Please use complete sentences.
You may have noticed that honesty and ethics are important in finance and business careers. Why is this so important?
Answer:
see below
Explanation:
Ethics are a set of regulations and that guide people's behaviors. They are a set of generally accepted behavior in society. Ethics in business refers to the deliberate efforts to do the right thing.
Honesty and ethics are important in finance and business careers due to the following reasons
Asset Protection and AssuranceFinance and business professionals deal with sensitive information. They have access to financial records, accounting records, and personal shareholders and employees' records. Honesty and integrity are essential to ensure that the reports they present are accurate and reliable.
The majority of fraudulent activities originate from finance and business departments. Having employees of high integrity in those units will help protect business assets and assure the reliability of financial data.
2. Public Image and Brand Value Increases
Honest and ethical workers add to the goods reputation of a company. Business partners and customers will feel more confident transactions with the company. The company's brand image and value increase in the eyes of the public.
3. Team Work develops:
Honest workers have a relatively easy time working with others. Teamwork increases when employees work responsibly and as expected.
Nathalie is willing to apply for a car loan. She is 18 years old, still lives at home with her parents and has a part-time job during nights while attending college. In this scenario, a bank's loan officer is most likely to approve the loan in case that Group of answer choices Nathalie maintains a 3.5 GPA. Nathalie signs over her parents car as collateral. Nathalie provides a cosigner on her loan. Nathalie increases her student loan.
Answer:
Nathalie provides a cosigner on her loan
Explanation:
In the case when an inidvidual co-signs the loan so the individual is become obligated in a legal way to repay the full loan with respect to nathalie when she is not able to pay the amount. Also the loan officer would permitted in that case when the co-signer has the stable kind of job or the source of revenue.
So, nathalie not sign the car of the parent as the collateral as it required the parent consent
So the above should be the answer
Of the three valuation methods for an intangible asset discussed in the chapter, which one would you use and why? (The methods are Market-based, Cost-based, and Income-based)
Regarding Stock Price, explain how it is set at the time of company formation. Describe the key factors that influence stock price before IPO.
What is goodwill and how is it different from other intangible assets?
The three valuation methods for an intangible asset that are discussed in the chapter are Market-based, Cost-based, and Income-based. The most appropriate method of valuation to be used for an intangible asset would depend on several factors such as the type of asset, the context of the asset’s use, and other pertinent considerations.
Cost-based valuation approach: The cost-based valuation approach estimates the value of an intangible asset based on the cost of its development or creation. This approach could be used for valuing software programs, research and development initiatives, or other types of projects that were undertaken for the purpose of developing an intangible asset.
Income-based valuation approach: The income-based valuation approach assesses the value of an intangible asset based on its expected future income-generating capacity. This approach could be used for valuing an intangible asset such as a brand name or other types of marketing or advertising initiatives.
Goodwill is the difference between the purchase price of a company and the fair market value of its assets and liabilities. It is an intangible asset that is recorded on the balance sheet when one company acquires another. Goodwill arises from the expectation of synergies, cost savings, and other strategic benefits that the acquiring company expects to gain from the acquisition.
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Grand Energy Corporation (GE) plans to issue bonds to raise $190 million. GE's investment banker will charge 5 percent of the total amount issued to help raise the funds. The market value of each bond at issue time will be $1,000. How many bonds must GE sell to net $190 million after flotation costs? Assume that fractions of bonds cannot be issued. Round your answer to the nearest whole number.
The number of bonds that GE must sell to net $190 million after flotation costs is 200,000 bonds.
Number of bondsFirst step is to calculate the amount issue
Net proceeds = Amount of issue x (1 - Flotation costs)
$190,000,000 = Amount of issue x (1 - 0.05)
Amount of issue = $190,000,000/0.95
Amount of issue= $200,000,000
Second step is to calculate number of bonds
Number of bonds = $200,000,000/$1,000
Number of bonds= 200,000 bonds
Inconclusion the number of bonds that GE must sell to net $190 million after flotation costs is 200,000 bonds.
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What are some of the ways we can resolve IPv4 address shortages check all that apply using IPv6 addresses autonomous systems network address translation?
Using IPv6 addresses is the correct way to resolve IPv4 address shortages.
What about IPv6 addresses?
An IPv6 address (Internet Protocol Version 6) is a numerical label that is used to identify and find a network interface of a computer or network node participating in a computer network utilising IPv6.In order to identify each packet's source and destination, IP addresses are supplied in the packet header.Making choices on how to route IP packets to other networks is based on the destination's IP address.Internet Protocol version 6, which succeeded Internet Protocol version 4 as the initial addressing infrastructure (IPv4).IPv6 addresses have a size of 128 bits, as opposed to IPv4, which restricted an IP address to a 32-bit integer.IPv6 hence has a significantly larger address space than IPv4 in comparison.The long term solution is to use Internet Protocol version 6 (IPv6). IPv6 has trillions of trillions of addresses, so that it is enough to give every computer in the world a unique IP address.
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Type the correct answer in the box. Spell all words correctly.
Ideally, what should more than one member of the family contribute to for a better financial position?
A family can have more than one person contributing to the household _______
for a better financial position.
A family can have more than one person contributing to the household income for a better financial position.
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Jesse got a job at a fitness center. He thought his first paycheck would be $200 for working 20 hours at $10 an hour. Instead, the paycheck was for $180. Which was most likely taken from his check?
A.) taxes
B.) interest
C.) profit
D.) dividends
Answer:
Taxes
Explanation:
The answer to the question is taxes.
Answer:
Hey there! It sounds like Jesse got a job at a fitness center and was expecting his first paycheck to be for $200, but it ended up being for $180 instead. That's a bummer!
Paychecks often have various deductions taken out, like taxes, insurance premiums, and retirement contributions. It's possible that some or all of these deductions were taken out of Jesse's paycheck, which is why it was for less than he expected.
Taxes are a common deduction from paychecks, so it's likely that some taxes were taken out. But don't worry, this is just part of the process of getting paid and is completely normal.
It's probably not interest, profit, or dividends, since those things are usually associated with investments or financial products, not employment.
A disadvantage of using credit is impulse buying
True or False
Answer:
True
Explanation:
Impulse buying is making unplanned or non-budgeted purchases. In impulse purchases, buying decision is based on attraction rather than the need to have the item.
Making payment via a credit card is incurring a debt. One does not need to have money on their account for the payment to go through. It means one can spend money that they do not have on hand or at the bank. A credit card permits one to make payments for goods they had not planned to buy. It can encourage the buying of items that are not required.
Which investment is least likely to withstand the effects of inflation?a. stocksb. money market fundsc. hard asset collectionsd. all of the above
Stocks investment is least likely to withstand the effects of inflation in the market or economy
Cost-push The rise in prices affects the inputs used in the production process, which leads to inflation. Costs for all types of intermediate goods increase as more money and credit are directed towards the commodities or other asset markets. Demand-pull inflation happens when the economy's need for goods and services outpaces its capacity to supply them. The Wholesale Price Index's (WPI) annual percentage change in value is known as inflation. An estimate of spending power is inflation. It is described as the rate of change in goods and service prices over a predetermined time period (usually a year).
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why did the corporate spread significantly
Answer:
Corporate bond issuers go bankrupt more frequently than governments, as they do not have a tax base to fall back on in hard times.
The corporate spread altogether extends during 2008 market decline as corporate securities went up as the financial backers pivoted out of values into all types of more secure securities.
To fund-raise for different purposes, like continuous tasks, consolidations and acquisitions, or business extension, a firm might give a corporate security. This articulation oftentimes alludes to longer-term credit instruments with a base one-year development.
Credit spread is broadly utilized in exchanging high-level corporate securities. The yield contrast between a corporate security and an administration security with a practically identical residency or length is known as the credit spread.
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This question is not complete , here I am attaching the complete question:
Why did the corporate spread significantly widen during the 2008 market crash? Corporate bond issuers go bankrupt more frequently than governments, as they do not have a tax base to fall back on in hard times Corporate bonds went up as investors rotated out of equities into all forms of safer bonds Corporations were viewed as safer than governments; therefore, the corporate bonds went up and the government bonds went down A slowdown in economic activity led to fears of rising inflation. open/close chart.
The percentage of total workers who are out of work but seeking jobs and
willing to work is known as the
_______ rate.
Answer:
its either labor force participation rate or unemployment rate.
since he is still seeking a job, this leads me to believe that it is the labor force one, but to get the labor force participation rate you need the employed and the unemployed.
Explanation: