Purchasing euro call options someplace at the time the payment is due can be the greatest hedging.
The purpose of payment:Settlement is the exchange of agreed-upon sums of acceptable services and products from all people concerned for the payment of either money, goods, or services. Along with cash, cheques, wire transfers, personal loans, debit cards, and altcoins, the sale of commodities can be accepted as payment.
What are the five payment terms?5 distinct terms and payment alternatives. You will regularly see partners in international commerce employing one of the five primary payment methods. Open accounts, sales, documented collection, credit letters, and upfront payments are a few of these. Before the shipment of the goods, the exporters were being sent payment but do not get it. offers a simple and affordable form of payment.
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Poitioning" i a marketing management aid that refer to: _________ A. How cutomer think about propoed and/or preent brand in a market
Positioning is a marketing management tool that describes how consumers perceive existing and/or potential brands in a certain market. So, the suitable option will be option (a).
Give a brief account on marketing management.Marketing management applies economics and competitive strategy techniques to analyze the business environment in which the organization works. Marketers use SWOT analysis to focus on the relative competitive strengths and weaknesses of each competitor in the market as they create extensive profiles of each competitor. Marketing managers will look at each rival's cost structure, profit sources, assets, and capabilities as well as its competitive positioning, product differentiation, level of vertical integration, past responses to market changes, and other elements.
Market and marketing research are frequently conducted by marketing management in order to undertake marketing analysis. Although there are many techniques used by market researchers, the following are some of the most common ones :
Focus groups and different kinds of interviews are examples of qualitative marketing research.statistics surveys are examples of quantitative marketing research.experimental methods, including test marketsTechniques of observation like ethnographic (on-site) observationTo know more about, marketing management, visit :
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The complete question is mentioned below :
"Positioning" is a marketing management aid that refers to: ______
A) how customers think about proposed and/or present brands in a market.
B) a product's ability to provide both immediate satisfaction and social responsibility.
C) how a firm approaches customer relationship management.
D) a firm's ability to distribute products through intermediaries who are in the right position to reach target customers.
E) all of these alternatives are true.
A business that takes its name and characteristics from an existing business chain.
Answer:
a franchise business is the correct answer
if a profit-maximizing firm in a competitive market discovers that, at its current level of production, price is greater than marginal cost, it should question 8 options: shut down. reduce its output but continue operating. continue to produce at the current levels. increase its output.
If a profit-maximizing company in a cutthroat market finds that price is higher than marginal cost at its current level of production, it will raise output.
Explain about the profit-maximizing?
Businesses go through the process of profit maximization to ensure that the best levels of output and prices are realized in order to maximise their returns. In order to meet its profit goals, the corporation alters crucial factors including sale price, production costs, and output levels.
For a business to thrive and to be competitive, it must make a profit. Therefore, the money it makes must be enough to cover all of its direct costs (materials, labour, and so forth), plus the money needed to keep it competitive (referred to as "normal profit").
The monopoly will maximize profits by producing at the point where marginal revenue and marginal cost are equal.
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Company A is raising $1 million at its initial public offering (IPO) by issuing 2,000 shares of stock?
The value of each share if you calculate it as $1,000,000/2,000 =500.
What is stock?A stock is referred to as a kind of ownership of certain items. When an individual holds stocks or shares in the market they are entitled as a stockholder or shareholder and liable for some dividend.
The process of announcing new shares of stock to the people for the first time in a private company is known as an initial public offering (IPO). An IPO allows a company to request equity capital from the general public.
The business has grown as a pre-IPO private company with a very small number of proprietors who own the stock in the company.
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The complete question is Probably
Company A is raising $1 million at its initial public offering (IPO) by issuing 2,000 shares of stock. What is the value of each share if you calculate it as $1,000,000/2,000 =
Which is an example of an accounting function for a business?
1.) Designing print advertisements
2.) Preparing a balance sheet
3.) Hiring employees
4.) Testing computer software
Demarco and Tanya have received information about three separate mortgage offers. In two or three paragraphs, describe your recommendation for the best financial choice in their situation.
Answer: first one
As for Mortgage Option 3, not only is the interest rate higher (4.0%), but the remaining balance that is not paid has to be paid off completely in 8 years. After the down payment, they would have a $1,605 monthly payment which includes the fixed interest rate of 4.25% as well. Due to the short payment time, a borrower has a risk of loosing their home and equity if the final payment is not able to be made. Mortgage Option 2 has the lowest interest rate (3.5%) but these rates could be adjusted annually. Even though the interest rate is the highest, they would be able to afford it. Not only are they able to make these payments, Tanya and Demarco would also have. approximately $3,395 left to spend from their monthly earnings too.
Explanation:
credit to mohammedalm2
GAWAIN 2
Panuto, Gamit ang Venn diagram, Thambing ang mga katangian ng balalawiting panudyo,
lugmang de gulong, hugtong, apalalaman, Teulat sa aimang bahagi ang pagkakatulad ng
dalawang karunungang hayang inihahambing,
Tulal Awiting
Papudyo
Tugmang de Galang
Pagkakatulad
Bulong
Palaisipan
Pagkakatulad
Explanation:
ANG TUGMANG DE GULONG AY ISANG TUMANG TULAANG TUGMANG DE GULONG AY ISANG TUMANG TULA꧁#CarryOnLearning꧂ANG TUGMANG DE GULONG AY ISANG TUMANG TULA꧁#CarryOnLearning꧂❀⊱─━━━━━━⊱༻●༺⊰━━━━━━─⊰❀total cost (TC). Please provide answers to the next five questions. Q P TC TR MR MC Profit 0 $8 1 $10 2 $12 3 $15 $19 $24 $30 $45 $6 $6 $6 $6 $6 $6 $6 7 $6 Question 1 1 pts Given the data provided in the table, you are given quantity (Q). price (P), and total cost (TC). Please provide answers to the next five questions. What is the firm's profit at Q-3 4 5 6
the firm's profit at Q-3 4 5 6 are $27, $52, $90, and $144, respectively.
The given data for price (P), quantity (Q), total cost (TC), total revenue (TR), marginal revenue (MR), marginal cost (MC), and profit are as follows:
Q P TC TR MR MC Profit 0 $8 - - - - - 1 $10 6 10 10 6 4 2 2 $12 12 24 14 6 6 12 3 $15 18 45 21 6 9 27 4 $19 24 76 31 6 11 52 5 $24 30 120 44 6 14 76 6 $30 36 180 60 6 18 84 7 $45 - - - - -
To find the firm's profit at Q-3 4 5 6, we have to calculate the total revenue and total cost at each quantity (Q).Let's see the calculations for the given problem:
Total revenue (TR) = price (P) × quantity (Q)Total cost (TC) = fixed cost (FC) + variable cost (VC)Profit
= total revenue (TR) - total cost (TC)
For Q=3, TR = $15 × 3 = $45
For Q=3, TC = $18
Profit at Q=3 = TR - TC = $45 - $18 = $27
For Q=4, TR = $19 × 4 = $76
For Q=4, TC = $24
Profit at Q=4 = TR - TC = $76 - $24 = $52
For Q=5, TR = $24 × 5 = $120
For Q=5, TC = $30
Profit at Q=5 = TR - TC = $120 - $30 = $90
For Q=6, TR = $30 × 6 = $180
For Q=6, TC = $36
Profit at Q=6 = TR - TC = $180 - $36 = $144
Therefore, the firm's profit at Q-3 4 5 6 are $27, $52, $90, and $144, respectively.
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Profit is _____.
the difference between business income and business expenses
a main motive for entrepreneurs starting new businesses
often calculated using a pie graph
all of the above
Answer:
ALL OF THE ABOVE
Explanation:
EDGE 2021 :D
In what position would you find pennies in a cash drawer?
a. Top right section
C. Bottom right section
b. Top left section
d. Bottom left section
WWW
Why are food trucks' costs typically lower than those of a traditional brick-and-mortar
restaurant?
Answer:
Being mobile, food trucks can simply drive to a more profitable site if a location is not cutting it. Food trucks don't bear the larger overhead of brick-and-mortar restaurants. The costs of wide-ranging staff, utilities and property taxes of typical brick-and-mortar restaurants can really stack up.
Measuring conversions is a good way to calculate your ROI. Which of the following is a commonly calculated conversion? a shares, b sediment, c downloads, d likes
A commonly calculated conversion from the list is shares. The answer to this question is option a.
What are shares?Shares can be described as a unit that is called mutual funds. The owner of a share is regarded as a shareholder.
Shares can be converted to be money. Therefore it is the best answer to this question.
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when considering how mobile users will search for your business, which types of keywords should you focus on?
When considering how mobile users will search for business one should focus on shorter keywords and phrases.
Keywords are used in search engine optimisation. Search engine optimisation allows mobile users to have an optimised experience. It takes into consideration the design of the website, structure, speed etc.
Generally, there are four different types of keywords. Their names are commercial, transactional, informational, and navigational. Keywords refer to small phrases or words an individual usually searches for.
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Sam is getting his bachelor's degree. During some of his course work, he honed his research skills and learned to
exhibit confidence while presenting to an audience. Which career has Sam most likely been preparing for?
The correct answer is Journalism
Explanation:
Journalism is one of the careers that most require the use of communicative and research skills. This is because journalists are expected to gather information about important local, national and global events, which requires the use of research skills, and later they are expected to communicate the information precisely, concisely, and confidently, which requires the use of communicative skills. In this context, the career Sam is preparing for is journalism because this is the only one from the options that would require Sam to research and then communicate information confidently.
Answer:
D. Journalism
Explanation:
before conglomeration, publishing was described as a cottage industry. what does this mean?
The term "cottage industry" refers to a type of small-scale production where goods or services are produced by individuals or small groups of people, typically from their homes or small workshops.
Before conglomeration, publishing was indeed described as a cottage industry because it was characterized by a decentralized and fragmented market, where small and independent publishers were the norm.
Back then, the publishing industry was dominated by local and regional publishers who had close relationships with authors and focused on specific genres or topics. They would publish limited print runs and distribute their books through local bookstores or by mail order. This meant that each publisher had their own unique style and focus, which created a diverse and dynamic market.However, with the rise of conglomeration in the 20th century, the publishing industry began to consolidate and become more centralized. Large media corporations started to acquire smaller publishers, which led to the homogenization of the industry and a focus on profit rather than artistic merit. This resulted in the disappearance of many independent publishers and a decrease in the diversity of published works.Thus, the term "cottage industry" in publishing referred to the pre-conglomeration era where independent and small-scale publishers were the norm, leading to a diverse and dynamic market.Know more about the conglomeration
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4. Companies started by entrepreneurs typically have
Companies started by entrepreneurs typically have through small business loans, or by securing funding from investors.
A startup agency is a newly formed enterprise with specific momentum at the back of it based on a perceived call for its products or services. The intention of a startup is to develop hastily because of presenting something that addresses a selected market gap.
Startups Companies are typically headed by way of one or a few marketers who are inquisitive about answering a market call for thru the introduction of a brand new service or product. While small agencies regularly have the intention of staying small, a startup organization is focused on speedy and worthwhile boom inside their unique marketplace.
It is clear that timing is important when it comes to the last fulfillment or failure of an agency. In reality, in an examination of 200 startups, timing become discovered to be the most crucial factor related to achievement in forty-two cents of the instances, the maximum of any unmarried aspect.
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how many companies are in the dow-jones industrial average
The Dow Jones Industrial Average (DJIA) is a stock market index that measures the performance of 30 large, publicly owned companies in the United States.
These companies are selected by the editors of The Wall Street Journal based on their market capitalization, financial stability, and other criteria. As of August 2021, the DJIA includes companies such as Apple, Microsoft, Boeing, Coca-Cola, and Goldman Sachs, among others. It is worth noting that the DJIA is just one of many stock market indices, and there are thousands of companies listed on various stock exchanges around the world. However, the DJIA is considered one of the most prominent and widely followed indices in the world, and it is often used as a benchmark for the overall health of the US stock market.
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Mortgage interest rates are currently increasing. Mortgages and Homes are ____________, so an increase in mortgage rates, would cause market ___________ to __________, which in turn will cause a/an ___________ in market price. Which of the following options correctly fills in the planks? a. Substitutes / supply / increase / decrease b. Compliments / supply / decrease / increase c. Compliments / demand / decrease /decrease d. Substitutes / demand / decrease / decrease
The correct answer is d. Substitutes / demand / decrease / decrease.
When mortgage interest rates increase, mortgages and homes are substitutes. This means that potential homebuyers have the option to choose between buying a home or renting, and higher mortgage rates may discourage some buyers from purchasing homes and instead opt for renting.
An increase in mortgage rates affects the demand for homes. As mortgage rates rise, the cost of borrowing increases, making home purchases more expensive for potential buyers. This decrease in demand for homes is due to the higher financing costs associated with higher mortgage rates.
The decrease in demand for homes leads to a decrease in market price. When demand decreases, sellers may have to lower their asking prices to attract buyers. This decrease in market price occurs as a result of the reduced demand for homes in the market.
Therefore, the correct filling for the blanks is: Substitutes / demand / decrease / decrease.
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How do bonds generate income for investors?
A. Bonds depreciate in value.
B. Bonds protect investors from bankruptcy.
C. Bonds pay interest to the bank that sold the bond.
D. Bonds pay a specified amount to the investor at maturity.
Answer: D) bonds pay a specific amount to the investor at maturity
Explanation:
Bonds generate income for investors: B. Bonds protect investors from bankruptcy.
Bonds are considered to be safer investments as compared to the stocks because the bondholders can claim on the money generated by deposition of bonds in the event of bankruptcy. It becomes one of the source of income in scarcity of money. Bonds depreciates in value with time. The value of the bond reduces with as that of its face value. Bonds pay principle interest to the bond holder rather than to the bank. There is no surety of getting a specified amount after the maturity of bond as the value of bond depreciates with the time.Hence, option B is correct.
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how much would you need to deposit in an account now in order to have $5000 in the account in 10 years? assume the account earns 2% interest compounded monthly.
Calculating the amount of interest that will be charged on a loan can be done quickly and easily using the simple interest formula. To compute simple interest, multiply the principle, the number of days between payments, and the daily interest rate.
Explain about the Simple Interest?Simple Interest is the amount repaid for using the borrowed funds over a predetermined amount of time. When the total principal amount and the rate of interest for a certain amount of time surpass the due date for payment, this is known as compound interest. S.I. = (P, T, and R) x 100 is the formula.
We can infer from the query that we must determine the amount you must deposit, commonly known as the Principal.
The following is the simple interest principal calculation formula:
P = A / (1 + rt)
Where
A = $5000 was the account's final balance.
R = 2% interest rate
10 years are equal to the time, t.
Calculation:
converting R % to r a decimal comes first
R/100 is equal to 2%/100, or 0.02 every year.
How to resolve our equation
P = 5000 / ( 1 + (0.02 × 10)) = 4166.66
P = $4166.66
The amount is roughly $4166.66to the nearest cent.
In order to obtain $5000 to the nearest penny, you must put $4166.66 into an account right now.
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Tickets to a fundraiser are $14 if purchased ahead of time and $25 if purchased at the door. The total amount raised from all ticket sales was $625. If eleven tickets were purchased at the door, how many tickets were purchased ahead of time?.
What government organization formed to enforce antitrust laws and to make sure the interests of small businesses were protected against corporations
The government organization formed to enforce antitrust laws and protect the interests of small businesses against corporations is the Federal Trade Commission (FTC).
The FTC was established in 1914 and is responsible for promoting fair competition and preventing anti-competitive practices in the marketplace.
The agency investigates and takes legal action against companies engaged in unfair business practices, such as monopolies, price-fixing, and deceptive advertising. The FTC also works to ensure that small businesses have a level playing field and are not unfairly disadvantaged by larger corporations.
Through its enforcement efforts, the FTC aims to protect consumers and promote economic competition in the United States. In summary, the FTC is the government organization responsible for enforcing antitrust laws and safeguarding the interests of small businesses against corporate abuses.
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You have just made your first $5,000 contribution to your retirement account. Assuming you earn a return of 10 percent per year and make no additional contributions, what will your account be worth when you retire in 45 years? What if you wait 10 years before contributing? Contribution amount $ 5,000
Rate of return 10%
Years remaining :
Deposit today 45
Wait 10 years 35
Complete the following analysis. Do not hard code values in your calculations. Your answer should be a positive value.
Future value:
Deposit today______
Wait 10 years_____
A $5,000 contribution to a retirement account yields a 10% annual return, increasing its value by $201,142 in 45 years and $85,439 in 35 years.
To calculate the future value of your retirement account, we can use the compound interest formula:
Future Value = Present Value x (1 + Rate of Return)^Number of Years
If you make the $5,000 contribution today and retire in 45 years:
Future Value = $5,000 x (1 + 0.10)^45
The future value is approximately $201,142.
If you wait 10 years before making the contribution and retire in 35 years:
Future Value = $5,000 x (1 + 0.10)^35
The future value is approximately $85,439.
By applying the compound interest formula with the given contribution amount, rate of return, and years remaining, we can calculate the future value of your retirement account.
It's important to note that these calculations assume no additional contributions are made to the account and the return rate remains constant.
The future value represents the amount your account would be worth at retirement, considering the compounding of the initial contribution.
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Flank wear is measured by (two best answers):
Select one or more:
O a. wear depth
O b. Wear land depth
O c. wear volume
O d. d. wear area
O e. e. wear band width
O f. wear time
O g. g. wear thickness
Flank wear is measured by wear land depth and wear width.
Flank wear is a type of tool wear that occurs on the surface of cutting tools and it is the wear that happens at the intersection of the cutting edge and the finished workpiece.
Wear land depth refers to the degree of wear of the tool tip. In order to calculate the degree of wear, you will need to subtract the original depth from the new depth. The wear land depth is the height of the uncut portion of the cutting tool.
The wear width is the measurement of the width of the worn section on the cutting tool. It is measured from the edge of the wear band to the edge of the uncut portion of the cutting tool. The wear width can be used to determine how much of the tool is left and when it needs to be replaced.
The two best answers to measure flank wear are:
Wear land depth.
Wear width.
Flank wear is a common issue that can affect the efficiency of a cutting tool. By measuring the wear land depth and the wear width, it is possible to determine how much of the tool is worn and when it needs to be replaced. The depth and width of the wear area will increase over time, which will ultimately lead to the tool becoming less efficient.
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which statement is true of the north american free trade agreement (nafta)? multiple choice it makes it tougher for businesses in the united states to invest in mexico. it provides protection for intellectual property. it complicates the country-of-origin rules. it has virtually eliminated tariffs on goods traded between the united states and cuba. it enforces trade restrictions on agricultural goods.
The statement that is true of the North American Free Trade Agreement (NAFTA) is that it provides protection for intellectual property.
What is NAFTA? The North American Free Trade Agreement (NAFTA) is a trade agreement between Canada, the United States, and Mexico that went into effect on January 1, 1994. It eliminates most tariffs on traded products and makes it simpler to import and export goods and services throughout North America. NAFTA has been widely criticised since its creation, with some people arguing that it has cost the United States jobs, lowered labor and environmental standards, and encouraged the outsourcing of US jobs to Mexico.
However, proponents argue that NAFTA has led to increased trade and economic growth throughout the continent. What does NAFTA do? NAFTA's objectives are to reduce trading costs, improve market access, and improve investment opportunities in North America. The agreement was created to encourage trade between the three North American nations by reducing barriers to trade and investment. By lowering trade barriers and increasing cross-border investment, NAFTA has expanded the North American market, making it more competitive with other global markets. NAFTA has also established rules for dispute resolution and intellectual property rights, among other things. What is intellectual property? Intellectual property is a term used to describe inventions, literary and artistic works, symbols, and names used in business. It refers to intangible property that is created by the human intellect. It's the product of creativity and includes patents, trademarks, copyrights, and trade secrets. Intellectual property law aims to promote innovation by safeguarding the rights of individuals to own and benefit from their creative efforts. Thus, the statement that is true of the North American Free Trade Agreement (NAFTA) is that it provides protection for intellectual property.
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A child-tax credit (deduction) would
show up on which form?
A. 1040
B. 1099
C. 19
Answer:
see the answer
Explanation:
I think It is A
A facility that rents space specifically to new businesses or to people wishing to start a business is called a:
Answer:
Business incubator.
Explanation:
On January 1, the first day of the fiscal year, a company issues a $1,450,000, 5%, five-year bond that pays semiannual interest of $36,250 ($1,450,000 × 5% × ½), receiving cash of $1,408,720.
Complete Question:
On January 1, the first day of the fiscal year, a company issues a $1,450,000, 5%, five-year bond that pays semiannual interest of $36,250 ($1,450,000 × 5% × ½), receiving cash of $1,408,720
Journalize the first interest payment and the amortization of the related bond discount using the Straight line method
Answer:
Kindly check Explanation
Explanation:
Given the following :
Face value of bond issued = $1,450,000
Cash received on Issuance = $1,408,720
Number of Interest payment on bond = 5 × 2 = 10(semiannual)
Therefore, discount on bond :
$(1,450,000 - 1,408,720) = $41,280
Spreading or amortizing diacou t on bond over the bond duration (use te straight line method)
Discount / period
$41,280 / 10 = $4,128
Interest expense a/c Dr $40,378
To discount on bond payable a/c Cr $4128
To cash a/c $36,250
pros and cons of franchises??
If
there will be a
higher equilibrium price
and quantity.
supply increases and demand decreases
• demand increases and supply stays the same
supply increases and demand stays the same
• supply increases and demand increases
Answer: supply increases and demand decreases
Explanation:
When there's a higher equilibrium price, the producers will be willing to supply more goods to take advantage of the price rise. This will lead to an increase in supply of goods.
On the other hand, when is a higher equilibrium price, demand will reduce. Consumers will make less purchases. This follows the law of demand.