An increase in notes payable does not directly impact cash. On the other hand, a decrease in common stock does not necessarily involve cash.
Notes payable represent a liability owed by a company to a creditor, usually in the form of a loan or promissory note. This means that when a company incurs more debt by increasing its notes payable, it does not immediately affect its cash balance. On the other hand, a decrease in common stock does not necessarily involve cash. Common stock represents the ownership interest of shareholders in a company. If common stock is reduced, it usually implies that the company has bought back or retired some of its own shares. This transaction does not involve the use or receipt of cash.
To summarize, an increase in notes payable does not directly impact cash, and a decrease in common stock does not involve cash. Both of these transactions represent changes in the company's financial obligations and ownership structure, rather than changes in its cash position.
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You buy a used car for $18,000. You were given 3% interest over 3 years. What is your
monthly payment?
Answer:
$545
Explanation:
The total amount of interest to be paid is obtained by the formula.
I= p x r x t,
Where I= interest
P= principal amount
R= interest rate
T= time
In this case
I= $18,000 x 3/100 x 3
I= $18,000 x 0.03 x 3
I=$18,000 x 0.09
Interest paid will be $1,620
Total amount to be repaid is the principal amount plus interest
=$18,000 + $1,620
=$19,620.
The amount of $19,620 will be repaid in 3 years( 36 months)
monthly payment will be
=$19,620 /36
=$545
Monthly repayments will be $545
Which of the following pieces of information is needed to compute flow time at a dentist's office?
A. Travel time of patients from home to the dentist.
B. Scheduling time of patients.
C. Arrival time of patients.
D. Arrival time of staff.
Answer:
C. Arrival time of patients.
Explanation:
Flow time is a term used in business operations to describe the quantity of period or duration a flow unit such as the number of customers attended to, commodities produced, etc, consumes in a business operation from start to finish. It can be calculated by the formula T = I/R
Where T = Flow time, I = average inventory, R = number of customers attended to / time period
Hence, in this situation, the information that is needed to compute flow time at a dentist's office is option C Arrival time of patients.
If a person has a house worth $100,000, a mortgage of $90,000, savings of $5,000, a car valued at $10,000, a $7,000 car loan, and $3,000 in credit card debt. What is this person’s net worth?
Answer:
$15,000
Explanation:
A person's net worth is the difference between their total assets and total liabilities.
In this case,
Assets are
House $100,000
Savings $5,000
Car $10,000
Total assets= $115,000
Liabilities
mortgage of $90,000,
car loan $7,000
credit card debt $3,000
Total liabilities= $100,000
Net worth = Total assets - Total liabilities
=$115,000 - $100,000
=$15,000
what difference would it make to the economy if there were no money? What commodities might serve as money instead? Provide reason for your answers.
Answer:
Well, we would simply be reduced to a barter economy. Therefore we would have to trade items for items.
Explanation:
This is the way it is because "Barter" is The exchange (goods or services) for other goods or services without using money. So if we needed beef, we would have to give the person trading the beef something of ours. As for countries who want to trade, if one needs wool, and one needs iron, and country A has Iron and country B has wool They'd barter the two items.
David, the manager of a bookstore, prefers to directly point out other's mistakes. Some employees see his communication style as rude and
aggressive. Which of the following can cause such a conflict?
O Concern over job security
Lack of trust
Differences in work styles
Diversity in the workplace
Answer:
Differences in work styles
Explanation:
Conflicts are serious disagreements. They arise from differences in ideas, opinions, methodology, or actions. Conflicts create tensions and may lead to verbal or physical violence if unresolved.
David, as the manager, has his style of working. The employees under him may have different methods of performing their roles. If David does not appreciate his junior ways of working, there could be tension and unnecessary conflicts.
The benefit of mutual funds is that
Answer:
Mutual funds are the most popular investment choice in the U.S. Advantages for investors include advanced portfolio management, dividend reinvestment, risk reduction, convenience, and fair pricing.
Explanation:
(Disadvantages include high fees, tax inefficiency, poor trade execution, and the potential for management abuses.) not in question but just in case u need it
Answer:
Explanation:
Mutual funds are the most popular investment choice in the U.S. Advantages for investors include advanced portfolio management, dividend reinvestment, risk reduction, convenience, and fair pricing
(Disadvantages include high fees, tax inefficiency, poor trade execution, and the potential for management abuses.) not in question but just in case u need it
which of the following would most likely concern policymakers? multiple choice stable core inflation and volatile cpi inflation core inflation and cpi inflation that moved consistently over time high and rising core inflation high cpi inflation and low core inflation
Stable core inflation and volatile CPI inflation would most likely concern policymakers.
Inflation is the price of the boom in charges over a given period of time. Inflation is usually a vast measure, which includes the overall boom in expenses or the increase in the cost of living in a country.
Demand-pull inflation refers to conditions where there are not sufficient services or products being produced to keep up with demand, inflicting their expenses to boom. price-push inflation, on the other hand, occurs when the value of manufacturing products and services rises, forcing corporations to raise their costs.
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Select the correct answer. Under which market structure does the action of one company have a spillover effect on other companies’ decisions?
A. oligopoly
B. perfect competition
C. monopoly
D. monopolistic competition
Answer:
A. oligopoly
Explanation:
a state of limited competition, in which a market is shared by a small number of producers or sellers.
Under oligopoly, the action of one company has a spillover effect on other companies’ decisions. Thus, option A is the correct option.
What is a company?A company can be defined as an institution who makes a product or service and sells it or endorse it in the market to earn revenue.
When there is any change or shift in the market with respect to any sort of commodity than that effect goes on to another product which can be considered as a substitutional product is called as oligopoly.
For example, in the case of a cold drink if one cold drinks prices increases or the demand decreases then people start to prefer to another call ring that can be considered as it substitute product this system can be referred to as an oligopoly. Therefore, option A is the correct option.
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Sandra would like to organize LAB (a legal corporation) as either an S corporation or a C corporation for tax purposes. In either form, the entity is expected to generate an 8 percent annual before-tax return on a $675,000 investment. Sandra's marginal income tax rate is 37 percent and her tax rate on qualified dividends and net capital gains is 20 percent. LAB's income is not qualified business income (QBI), so Sandra is not allowed to claim the QBI deduction. Assume that LAB will distribute all of its earnings after entity-level taxes every year. Ignore the additional Medicare tax and the net investment income tax when computing your answers. Note: Round your intermediate computations to the nearest whole dollar amount.
a. How much cash after taxes would Sandra receive from her investment in the first year if LAB is organized as either an S corporation or a C corporation?
b. What is the overall tax rate on LAB's income in the first year if LAB is organized as an S corporation or as a C corporation? Note: Round your final answers to 2 decimal places
The overall tax rate on LAB's income in the first year would be 62.8 percent if organized as an S corporation and 33.0 percent if organized as a C corporation.
a). To calculate the cash after taxes that Sandra would receive from her investment in the first year if LAB is organized as either an S corporation or a C corporation:
Calculate the pre-tax income: $675,000 * 8% = $54,000If LAB is organized as an S corporation, calculate the taxable income: $54,000 * 37% = $33,780Calculate the after-tax income for an S corporation: $54,000 - $33,780 = $20,220If LAB is organized as a C corporation, calculate the corporate taxes: $54,000 * 21% = $11,340Calculate the after-tax income for a C corporation: $54,000 - $11,340 = $42,660Calculate the tax on the dividends for a C corporation: $42,660 * 20% = $8,532Calculate the final after-tax income for a C corporation: $42,660 - $8,532 = $34,128b). The overall tax rate on LAB's income in the first year would be 62.8% if organized as an S corporation and 33.0% if organized as a C corporation. If LAB is organized as an S corporation, Sandra would receive $20,220 after taxes. If LAB is organized as a C corporation, Sandra would receive $34,128 after taxes.
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A publisher for a promising new novel figures fixed costs at $37,099 and variable costs at $2.23 for each book produced. If the book is sold to the distributors for $12 each, how many books must be produced and sold for the publisher to break even?
! NOTE ! Will someone please actually show the individual steps and not just "Here's the first equation, here's the second, solve both of them"?
You don't even have to give the answer. I just would really like a DETAILED breakdown of the steps so I can solve for myself. Thanks!
Therefore, the publisher must produce and sell approximately $3,798.46 books (rounded to the nearest whole number) to break even.
How many books must be produced and sold for the publisher to break even, given fixed costs of $37,099, variable costs of $2.23 per book, and a selling price of $12 per book?To break even, the publisher of a novel with fixed costs of $37,099 and variable costs of $2.23 per book needs to determine how many books must be produced and sold.
By setting up the equation and solving it step by step, the publisher finds that they need to sell approximately 3,798.46 books (rounded to the nearest whole number).
This break-even point is reached when the total cost, including fixed and variable costs, equals the total revenue generated from selling the books at a price of $12 each.
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Dr. Drake is thinking about retirement and decides to sail around the world once he retires. He buys a sailboat for $125,000. He borrows the money at an apr of 7. 5% for five years. How much will his total interest be?.
The total interest on Dr. Drake's loan will be $46,875. Interest on a loan is the cost of borrowing money. It is typically expressed as a percentage of the loan amount and is charged by the lender over the term of the loan.
The interest rate is used to calculate the amount of interest that will be paid on the loan, and it can vary depending on factors such as the creditworthiness of the borrower and the length of the loan term. Interest is usually paid in addition to the principal amount borrowed, and it is usually paid periodically (such as monthly or annually) along with the repayment of the principal.
To calculate the total interest on a loan, you need to know the loan amount, the interest rate, and the loan term (in years). Using this information, you can use the following formula:
Interest = (Loan Amount x Interest Rate x Loan Term) / 100
In this case, the loan amount is $125,000, the interest rate is 7.5%, and the loan term is 5 years. Plugging these numbers into the formula, we get:
Interest = ($125,000 x 7.5 x 5) / 100
Interest = $46,875
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What is the purpose of the Subtotal feature?
peewee's toys purchased $119,800 worth of pegablock toys on account with credit terms of 2/10, n/30. mar. 12 peewee's toys returned $11,900 of the merchandise to pegablock due to damage during shipment. mar. 14 peewee's toys paid the amount due, less the return and discount.
The net amount due after Peewee's toys purchase is about $105,504.
What is the net amount due?
Peewee's toys purchased $119,800 worth of pegablock toys on account with credit terms of 2/10, n/30.
On March 12, Peewee's toys returned $11,900 of the merchandise to Pegablock due to damage during shipment.
On March 14, Peewee's toys paid the amount due, less the return and discount.
To calculate the amount due:
Calculate the discount by multiplying the amount of the purchase by the discount rate.
Subtract the discount from the amount of the purchase.
Calculate the net amount due by subtracting the return from the purchase minus the discount.
Therefore, the calculation is as follows:
Discount = $119,800 × 2% = $2,396
Amount Due Less Discount = $119,800 - $2,396 = $117,404
Net Amount Due = $117,404 - $11,900 = $105,504
The net amount due is $105,504.
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a producer of fine chocolates believes that the sales of two varieties of truffles differ significantly during the holiday season. the first variety is milk chocolate while the second is milk chocolate filled with mint. it is reasonable to assume that truffle sales are normally distributed with unknown but equal population variances. two independent samples of 18 observations each are collected for the holiday period. a sample mean of 12 million milk chocolate truffles sold with a sample standard deviation of 2.5 million. a sample mean of 13.5 million truffles filled with mint sold with a sample standard deviation of 2.3 million. use milk chocolate as population 1 and mint chocolate as population 2. which of the following are the appropriate hypotheses to determine if the average sales of the two varieties of truffles differ significantly during the holiday season?
A producer of fine chocolates believes that the sales of two varieties of truffles differ significantly during the holiday season. the first variety is milk chocolate while the second is milk chocolate filled with mint. it is reasonable to assume that truffle sales are normally distributed with unknown but equal population variances. two independent samples of 18 observations each are collected for the holiday period. a sample mean of 12 million milk chocolate truffles sold with a sample standard deviation of 2.5 million. a sample mean of 13.5 million truffles filled with mint sold with a sample standard deviation of 2.3 million. use milk chocolate as population 1 and mint chocolate as population 2. which of the following are the appropriate hypotheses to determine if the average sales of the two varieties of truffles differ significantly during the holiday season?
A standard deviation (or σ) is a degree of the way dispersed the information is when it comes to the imply. Low general deviation means statistics are clustered around the mean, and high popular deviation shows statistics are more unfold out.
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Why is Feeney called a hero/saint?
Answer:
In 1982, he decided he would commit to giving away his billions during his lifetime. He is broke now. Gave away and donated over $8million. His motto was "giving while living "
Explanation:
Which of the following is one of the difficulties faced by small business owners A. high cost of formation B. bureaucratic decision making process C.inability to focus on specific groups of customers D. worries about employee problems or competition E. limited scope for innovation
One of the difficulties faced by small business owners is worries about employee problems or competition. Option D.
A small business entrepreneur often launches a company in their neighborhood to serve a particular target market. Small business operators provide a specialized good or service to clients in a certain neighborhood.
Sometimes a small business is born out of a person's experience or passion, and that person decides to go it alone to have a bigger impact. A mom-and-pop shop is frequently left to a business owned by a relative. Small business entrepreneurs are focused on contributing in some way to their communities.
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Indicate what impact the following transactions would have on the accounting equation, Assets = Liabilities + Equity. Transaction impact table Impact 1 Impact 2 Paid monthly note payment to bank Sold inventory on account Bought supplies, to be paid for next month Received cash from sales this month Paid for inventory purchased on account last month
Answer:
The impact of the transactions on the accounting equation, Assets = Liabilities + Equity, is as follows:
Paid monthly note payment to bank:
Impact 1: Assets (Cash) decreases
Impact 2: Liabilities (Bank Loan) decreases
Sold inventory on account:
Impact 1: Assets (Accounts Receivable) increases
Impact 2: Equity (Revenue) increases
Bought supplies, to be paid for next month:
Impact 1: Assets (Supplies) increases
Impact 2: Liabilities (Accounts Payable) increases
Received cash from sales this month:
Impact 1: Assets (Cash) increases
Impact 2: Equity (Revenue) increases
Paid for inventory purchased on account last month:
Impact 1: Assets (Cash) decreases
Impact 2: Liabilities (Accounts Payable) decreases
It is important to note that for each transaction, one side of the equation must increase and the other side must decrease in order to keep the equation in balance.
Explanation:
Job #4260 consisted of 1,000 units at a total cost of $200,000. The cost transferred to cost of goods sold for the sale of 600 of the units is ______.
The cost transferred to cost of goods sold for the sale of 600 of the units is 120,000. Frequently, market analysts use models with two sources of info: actual capital, with amount K and work, with amount L.
What is Total cost?In financial matters, total cost (TC) is the base dollar cost of creating some amount of result.
This is the total monetary cost of creation and is comprised of variable cost, which changes as indicated by the amount of a decent delivered and incorporates information sources like work and natural substances.
Work #4260 comprised of 1,000 units at a total cost of $200,000. The cost moved to cost of products sold for the offer of 600 of the units is
Total cost / units x sale of units
200,000 / 1,000 x 600
= 120,000
The negligible cost can likewise be determined by tracking down the subordinate of total cost or variable cost. Both of these subsidiaries work in light of the fact that the total cost incorporates variable cost and fixed cost, yet fixed cost is a consistent with a subsidiary of 0.
The total cost of delivering a particular degree of result is the cost of the multitude of variables of creation. Total cost in financial matters incorporates the total open door cost (benefits got from the following best other option) of each element of creation as a feature of its fixed or variable costs.
Therefore The extra total cost of one extra unit of creation is called minor cost.
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Business lab!! need help
A market overview, including a summary of challenges and opportunities
Top three sectors for export, with detail of major items or sub-sectors to consider. (Since this is an imaginary assignment, rather than coming to this research with your product already in mind and ready to export, you will research what product would be best to export to your country of choice. An easier task!)
How to sell US products in this market
A recommendation on whether it is a good time (politically, and economically) to export to this country
France:
China:
Japan:
Top three sectors for export, with detail of major items are
Global Oil & Gas Exploration & Production. Global Pharmaceuticals & Medicine Manufacturing. Global Car & Automobile Manufacturing. .The products are:
Refined PetroleumCrude PetroleumCarsHow to sell us products in the international market?International markets or your own website are your two choices. Alibaba, Etsy, and eBay are examples of international marketplaces where users anticipate purchasing from vendors located in distant nations.
The direct sale of goods and/or services to another nation is known as exporting. It is possibly the least risky and most well-known way to join a foreign market.
Therefore, some global market entry strategies for any kind of product are:
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prepaid insurance account for the solar panels had a $2,700 debit balance at december 31 before adjusting for the costs of any expired coverage. analysis of prepaid insurance shows that $950 of unexpired insurance coverage remains at year-end
The student question is related to the adjustment of the prepaid insurance account for solar panels at year's end.
Step 1: Identify the debit balance of the prepaid insurance account before adjustment.
The debit balance of the prepaid insurance account is $2,700.
Step 2: Determine the unexpired insurance coverage at the year-end.
Analysis shows that there is $950 of unexpired insurance coverage remaining at the year-end.
Step 3: Calculate the expired insurance coverage.
To find the expired insurance coverage, subtract the unexpired insurance coverage from the total prepaid insurance account balance:
Expired Insurance Coverage = Prepaid Insurance Account Balance - Unexpired Insurance Coverage
= $2,700 - $950
= $1,750
Step 4: Record the adjusting entry for the expired insurance coverage.
Debit Insurance Expense for $1,750 and credit Prepaid Insurance for $1,750. This will properly reflect the expired insurance coverage in the financial statements.
In conclusion, after adjusting for the costs of expired coverage, the Prepaid Insurance account will have a debit balance of $950, and an Insurance Expense of $1,750 will be recorded for the year-end.
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3 td
(1 po
mm
8. When Dr. Norman travels, she always stays at a Hawks family hotel. She is brand loyal, and
thinks that Hawks offers the best service. On this trip, Dr. Norman stayed at three different
Hawks hotels. Customer service was excellent at two of the hotels, but at the last hotel, the
person checking in guests was rude. Dr. Norman completes a comment card on each hotel,
knowing that Hawks strives for excellent customer service. This scenario exemplifies which
service characteristic?
Omarketability
Ovariability
O inseparability
O intangibility
Answer:
Variability
Explanation:
Variability expresses the notion that a service may vary in standard or quality from one provider to the next or from occasion to the next.
A sales representative for a company that produces electric mixers can sell x units of their deluxe model if the price is
p= D(X) = 75.1 - 0.04x dollars.
The total cost for these electric mixers is given by C(x) = 0.08x^2 + 4.1x + 6200 dollars.
Determine the marginal profit for 128 mixers.
Marginal profit represents the additional profit earned by selling one additional unit. Here, the marginal profit for 128 mixers is approximately $39.38.
To determine the marginal profit for 128 mixers, we need to calculate the derivative of the profit function with respect to the number of units sold (x). Marginal profit represents the additional profit earned by selling one additional unit.
The profit function (P(x)) is given by the difference between the revenue function (R(x)) and the cost function (C(x)):
P(x) = R(x) - C(x)
The revenue function (R(x)) is calculated by multiplying the number of units sold (x) by the selling price (p):
R(x) = x * p
Given that the selling price (p) is defined as p = 75.1 - 0.04x, we can substitute this into the revenue function:
R(x) = x * (75.1 - 0.04x)
The cost function (C(x)) is given as C(x) = 0.08x^2 + 4.1x + 6200.
Now, let's calculate the profit function:
P(x) = R(x) - C(x)
P(x) = x * (75.1 - 0.04x) - (0.08x^2 + 4.1x + 6200)
P(x) = 75.1x - 0.04x^2 - 0.08x^2 - 4.1x - 6200
To find the marginal profit for 128 mixers (x = 128), we need to calculate the derivative of the profit function with respect to x:
P'(x) = dP/dx = 75.1 - 0.08x - 0.16x - 4.1
P'(x) = -0.24x + 70.1
Now we can substitute x = 128 into the derivative equation:
P'(128) = -0.24(128) + 70.1
P'(128) = -30.72 + 70.1
P'(128) ≈ 39.38
Therefore, the marginal profit for 128 mixers is approximately $39.38.
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Another term for portfolio strategy is:?
allocation model. A
modulation model. B
formula model. C
equity model. D
Portfolio strategy is vital for every investor to achieve his or her financial goals and it's also known as allocation model.
Portfolio strategy simply means the roadmap that's used by investors to achieve financial goals. It simply means the optimal portfolios and their implication.
Portfolio strategy is created in order to present the asset allocation strategies for clients. This is vital in order for an organization to achieve its goals.
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00
Real GDP
A
с
Use this image to answer the following question. When the economy is operating at point C, the U.S. Congress is most likely to follow (5 points)
O expansionary fiscal policy
O contractionary fiscal policy
O expansionary monetary policy
contractionary monetary policy
Answer:
O expansionary fiscal policy
Explanation:
Point C represents a recession. During a recession, the economy experiences slow or negative growth. The unemployment rate is way above the recommended levels. The economy requires stimulation to accelerate growth and create job opportunities.
Congress controls the fiscal policies in the US. Fiscal policy is about adjusting taxation and government spending. Expansionary fiscal policies accelerate economic growth in a country. These policies target to income the amount of money in circulation. Reductions of taxes and an increase in government are expansionary.
Answer:
its A im taking the test and its defenetly a
Explanation:
is the general rise in prices throughout an economy.
Answer:yes
Explanation:
Answer:
Yes
Explanation:
The problems of ineffective communications in business
Answer:
Misunderstandings: When communication is unclear or ambiguous, it can lead to misunderstandings between employees, managers, or clients. This can cause delays, mistakes, and ultimately, loss of productivity and revenue.
Poor teamwork: Effective communication is essential for effective teamwork. If team members are unable to communicate effectively with one another, they may fail to collaborate and coordinate their efforts, leading to poor performance and results.
Low morale: When communication is ineffective, it can create a negative work environment and lead to low employee morale. This can result in a lack of motivation, decreased productivity, and high turnover rates.
Customer complaints: Poor communication with customers can result in complaints and loss of business. Customers who feel that their concerns or questions are not being addressed may take their business elsewhere.
Increased costs: Ineffective communication can lead to additional costs for a business, such as rework or waste due to misunderstandings or mistakes. This can negatively impact the bottom line and reduce profitability.
Overall, ineffective communication can have significant impacts on a business's productivity, profitability, and reputation. It is essential for businesses to prioritize effective communication strategies to avoid these problems and ensure success.
Explanation:
An airline decided to offer direct service from City A to City B. Management must decide between a full price service using the company's new fleet of jet aircraft and a discount service using smaller capacity commuter planes. It is clear that the best choice depends on the market reaction to the service the airline offers. Management developed estimates of the contribution to profit for each type of service based upon two possible levels of demand for service to the airline: strong and weak. The following table shows the estimated quarterly profits (in thousands of dollars). Demand for Service Service Strong Weak Full price $980 -$510 Discount $660 $320 (a) What is the decision to be made, what is the chance event, and what is the consequence for this problem?
Decision: Choose between offering a full-price service or a discount service. Chance Event: Level of demand for the airline service (strong or weak). Consequence: Estimated quarterly profits for each type of service based on the level of demand.
Decision to be constructed: The decision to be constructed is whether to offer a full-price service using the company's new fleet of jet aircraft or a discount service using smaller capacity commuter planes.
Chance event: The chance event in this problem is the level of demand for service to the airline, which can either be strong or weak.
Consequence: The consequence in this problem is the estimated quarterly profit for each type of service based on the level of demand. The estimated quarterly profits (in thousands of dollars) are provided in the table:
If demand is strong:
Full price service: $980,000 profit
Discount service: $660,000 profit
If demand is weak:
Full price service: -$510,000 loss
Discount service: $320,000 profit
The consequence is the resulting profit or loss based on the chosen service and the actual level of demand.
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A callable bond:
A. would usually have a lower yield than a similar non-callable bond.
B. is attractive to the buyer because the immediate receipt of principal and premium usually produces a higher return.
C. is more apt to be called when interest rates are high because the interest savings will be greater.
D. generally has a higher credit rating than a similar non-callable bond.
E. is attractive to the issuer because it allows the issuer to prepay outstanding debt if new debt can be issued at lower rates.
Answer:
cookies
Explanation:
no reason
Architecture drafter
tom is shopping for a policy that covers two people and would pay the face amount only when the first person diest. the type of policy is looking for is called a
The type of policy he is looking for is called a joint life insurance policy or a first-to-die policy.
This policy is usually cheaper than purchasing two separate policies, one for each person, because it only pays out once and only when the first person passes away. A joint life insurance policy or a first-to-die policy.A joint life insurance policy or a first-to-die policy is a type of life insurance that covers two people. The policy pays out when the first person in the policy dies.
A joint life insurance policy or a first-to-die policy is designed to provide insurance coverage for two people at the same time. It covers both people under the same policy, and only pays out when the first person on the policy dies. After the payout, the policy will end, and there will be no further payouts.
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