Country a has a comparative advantage over country b in the production of shoes, Country A can produce shoes at a lower cost in terms of other goods than other B.
What do you have been comparative advantage?
In an economic model, agents who can produce a particular good at a lower relative opportunity cost or autarky price—that is, at a lower relative marginal cost before trade—have a competitive advantage over rivals. Someone has a comparative advantage if they can produce something for less money than anyone else. Superiority in a particular field is different from comparative advantage.To know more about Comparative advantage here
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In a well-constructed paragraph, evaluate the significance of government to the economic well-being of the nation or people. Include 3 specific examples from the module to support your position and explain how each of them proves your point.
20 points: takes a position about the significance of the role of government
30 points: includes three examples from the module to support that position
30 points: thoroughly explains the connection between the examples and position on the role of the government
Explanation:
5.From which of the following, we get more sun's energy-
1 point
Eating other people
The importance of the government for the economic well-being of the nation and the people is to create public policies that encourage the creation of new businesses capable of generating jobs and increasing the quality of life.
Free market systemIt is an economic model that is based on greater freedom to conduct business, without government intervention. The free market is determined by the law of supply and demand.
Therefore, the free market system guarantees greater economic development in a country, heating up the economy, generating jobs and increasing the purchasing power and well-being of the population.
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If you have a checking account and want to buy something online, which method of payment would be most convenient? (Select the best answer.) If you have a checking account and want to buy something online, which method of payment would be most convenient? (Select the best answer.) Writing a check Using an overdraft Using your checkbook register Using a debit card
Answer:
Using a Debit card
Explanation:
Online transaction and payments are transactions that are conducted virtually and electronically through the internet and computer network. One major attribute of this medium of payment is that physical method of payment are minimally used. An example of a medium of online payment is the use of a debit card
A debit card is a payment card issued by financial organization and linked to a customers checking account , which can be used to pay for purchases made through an online platform. It is a faster and saver means of payment.
Answer:
Debit Card (got it right on my test)
Explanation:
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?.
with its ethnic diversity, new york city is recognized as one of the nation's largest metropolises through commerce, finance, industry, and immigration. as a result, the city's economy was fueled in ways that led to its explosive growth in the late 19th and early 20th centuries.
As the biggest metropolis in the country, New York City.
What is ethnic diversity?
Continues to outperform the majority of the former rival cities. The city's population increased by 9% in the 1990s and at last surpassed eight million people. Of the sixteen biggest metropolitan in the northeast or midwestern United States, New York is the only one whose population has increased during the past fifty years. Its economy is still strong.
The largest industry in Manhattan has a payroll per employee of over $80,000 annually, and the second-largest industry has a payroll per employee of about $200,000. Even New York experiences times of apparent rebirth and crisis, and the 1970s were undoubtedly a time of true catastrophe for the city. Early in the nineteenth century, New York's prosperity was fueled by the expansion of the city's manufacturing sector, which in turn was dependent on New York's dominance as a port. The late nineteenth-century expansion of New York was at least as much a result of its function as a port of entry for immigrants to the country.
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The journal entry to record the use of direct materials in process costing is a(n)?
The journal entry to report the usage of direct materials in procedure costing is debit paintings in system inventory and credit raw substances stock.
A journal entry is supposed to collect your ideas and observations on a wide variety of factors and positioned the happenings of every day in writing. In this way, you're able to higher keep in mind what you probably did, what your concept is, and what changed taking place whilst you have been more youthful.
Each journal entry access contains the statistics vast to a single commercial enterprise transaction, which include the date, the quantity to be credited and debited, a short description of the transaction, and the money owed affected. relying on the employer, it is able to list affected subsidiaries, tax details, and other records. An instance of a magazine entry consists of the purchase of machinery by using the united states of America in which the equipment account might be debited, and the cash account will be credited.
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Checking the competitive advantage potential of cross-business strategic fits in a diversified company involves evaluating the extent to which sister businesses present opportunities
-to combine the performance of certain cross-business activities and thereby reduce costs.
-to transfer skills, technology, or intellectual capital from one business to another.
-for the company's different businesses to share use of a well-respected brand name.
-for sister businesses to collaborate in creating valuable new competitive capabilities.
-to create a positive image in the industry irrespective of the financial performance of its businesses.
Checking the competitive advantage potential of cross-business strategic fits in a diversified company involves evaluating the extent to which sister businesses present opportunities:
to combine the performance of certain cross-business activities and thereby reduce costs.to transfer skills, technology, or intellectual capital from one business to anotherfor the company's different businesses to share use of a well-respected brand name.for sister businesses to collaborate in creating valuable new competitive capabilities.to create a positive image in the industry irrespective of the financial performance of its businessesWhat is a competitive advantage potential?Competitive advantage means the factors that permits an organization to manufacture goods or services better or more at a lesser rate than its competitors. These factors affords the productive objects to have more sales or superior margins compared to its market competitors.
Therefore, the correct answer is as given above
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suppose a 10-year us treasury note yields 3.5%, and a 10-year lubbock county note yields 2.75%. if an investor has a marginal tax rate of 20%, calculate the after-tax yield for the taxable bond. (enter percentages as decimals and round to four decimals)
The after-tax yield for the taxable bond is 2.2%
The effective after-tax yield is the amount that is still present after taxes have been deducted. For instance, the after-tax dividend yield is just $800 if a person receives $1,000 in dividends from an investment but has pay 20% in taxes.
It is typical to use the following rough formula to determine the after-tax yield to maturity of a bond: after-tax yield = (1 - tax rate) (before-tax yield).
The after-tax yield for the taxable bond can be calculated as follows:
Taxable bond yield = 2.75%
Tax rate = 20%
After-tax yield = Taxable bond yield x (1 - Tax rate)
= 2.75% x (1 - 0.20)
= 2.2%
Thus, the taxable bond's after-tax yield is 2.2%. (rounded to four decimals).
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The net income reported on the income statement for the current year was $240,000. Depreciation was $50,000. Accounts receivable decreased by $10,000 and inventories decreased by $30,000. Prepaid expenses increased by $1,000 and accounts payable increased by $8,000. How much cash was provided by operating activities? Select one: a. $337,000. b. $329,000. c. $301,000. d. $321,000.
Answer:
a. $337,000
Explanation:
Calculation to determine How much cash was provided by operating activities
Using this formula
Cash provided by Operating activities=Net income+Depreciation+Account receivable+Inventories decreased -Prepaid expenses+Accounts payable increased
Let plug in the formula
Cash provided by Operating activities=$240,000 + $50,000 + $10,000 + $30,000 - $1,000 + $8,000
Cash provided by Operating activities=$337,000
Therefore the cash provided by operating activities was $337,000
The Nelson Company has $1,200,000 in current assets and $480,000 in current liabilities. Its initial inventory level is $305,000, and it will raise funds as additional notes payable and use them to increase inventory. How much can Nelson's short-term debt (notes payable) increase without pushing its current ratio below 2.0? Do not round intermediate calculations. Round your answer to the nearest dollar. $ What will be the firm's quick ratio after Nelson has raised the maximum amount of short-term funds? Do not round intermediate calculations. Round your answer to two decimal places.
The Nelson Company has $1,200,000 in current assets and $480,000 in current liabilities. Its initial inventory level is $305,000, and it will raise funds as additional notes payable and use them to increase inventory.
To avoid a decline in the current ratio below 2.0, how much can Nelson's short-term debt (notes payable) increase?The formula for calculating the current ratio is:
Current ratio = Current assets / Current liabilities. A current ratio of 2:1 or greater is generally considered acceptable for most enterprises. So, the current ratio is as follows:
Current ratio = $1,200,000 / $480,000 = 2.5 times
Let us now determine the maximum amount of short-term funds the company may obtain without pushing its current ratio below 2.0. Assume that the company raises the amount of additional notes payable, X dollars, and uses it to buy inventory. The maximum quantity of notes payable that can be added to inventory without causing the current ratio to fall below 2.0 is then determined as follows:
$1,200,000 / ($480,000 + X) ≥ 2.0$480,000 + X ≤ $600,000X ≤ $120,000
Thus, the maximum amount of additional notes payable is $120,000. If Nelson were to increase its notes payable by the maximum amount, its current liabilities would increase by $120,000, from $480,000 to $600,000. As a result, Nelson's current ratio would decline as follows:
Current ratio = $1,200,000 / $600,000 = 2.0 times
Let us now calculate the company's quick ratio after it has raised the maximum amount of short-term funds. The Quick ratio is determined by dividing the current assets by the difference between the current assets and the inventory. QR = (Current assets – inventory) / Current liabilities The calculation of quick ratio is as follows:
Quick ratio = ($1,200,000 − $305,000) / $480,000 = 1.99 times
The quick ratio after Nelson has raised the maximum amount of short-term funds will be 1.99 times.
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The shelf life of milk is 7 days. You have 22 gallons on hand. You normally sell 4 gallons each day. Do you expect to have to throw out any milk?
Explanation: You will throw away no gallons of milk because if you sell 4 gallons every day then 7 times 4 equals 28 so you will only work for 5 an a half days.
Answer:
B
Explanation:
the _____ prohibited commercial banks from being in the insurance and investment banking business.
The Glass-Steagall Act prohibited commercial banks from being in the insurance and investment banking business.
The Glass-Steagall Act was a U.S. federal law enacted in 1933 in response to the Great Depression. The act was designed to provide greater protection to bank depositors and to prevent banks from engaging in risky activities that could contribute to economic instability. Among its provisions, the act prohibited commercial banks from engaging in the insurance and investment banking businesses and established the Federal Deposit Insurance Corporation (FDIC) to insure bank deposits.
The Glass-Steagall Act remained in effect for more than 60 years before it was repealed in 1999, amid controversy over whether its provisions were still necessary or relevant in the modern financial system. Despite its repeal, the Glass-Steagall Act remains an important part of U.S. financial history and continues to be the subject of debate among policymakers and economists.
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The total factory overhead for Big Light Company is budgeted for the year at $807,500. Big Light manufactures two different products - night lights and desk lamps. Night lights is budgeted for 60,000 units. Each night light requires 1/2 hour of direct labor. Desk lamps is budgeted for 80,000 units. Each desk lamp requires 2 hours of direct labor. Determine the total number of budgeted direct labor hours for year.
Answer:
Explanation:
Budgeted direct labor hour is defined as the average time it will take to complete a budgeted production . This is calculated by multiplying the budgeted production by the labor hour per unit of production.
Workings
Total overhead budget = 807,500
Night light budgeted production = 60,000
Desk lamp budgeted production= 80,000
Night lamp production = 1/2 hour / unit
Desk lamp production = 2 hour / unit
Night light budgeted hour = 60000*1/5 = 30,000 hours
Desk lamp budgeted hour = 80,000 * 2 = 160,000 hours
Total number of budgeted direct labor hours = 190,000 hours
[14.55] (a) Calculate the perpetual equivalent annual worth in future dollars for years 1 through [infinity] for income of $50,000 now and $5000 per year thereafter. Assume the market interest rate is 8% per year and inflation averages 4% per year. All amounts are quoted as future dollars. (b) If the amounts had been quoted in CV dollars, what is the annual worth in future dollars?
$46,296.30 in addition to $62,500 rises to $108,796.30 in complete present incentive for the revenue source.
A. For an initial income of $50,000 and a yearly income of $5,000, calculate the annual perpetual equivalent value in future dollars for years 1 through co.
Before calculating the perpetual equivalent annual worth in future dollars, we must first determine the income stream present value. The present value of the initial $50,000 in income can be calculated using the formula below:
r is the interest rate,
n is the number of years,
PV is the present value, and FV is the future value.
PV = FV / (1 + r) n.
PV = $50,000 / (1 + 0.08)¹
= $46,296.30
The annual $5,000 annuity present value can be calculated using the formula below:
PV = A / r,
where A is the annual sum and r is the interest rate.
Along these lines, PV = $5,000/0.08
= $62,500
Consequently, $46,296.30 in addition to $62,500 rises to $108,796.30 in all out present incentive for the revenue source.
B. To calculate the annual equivalent worth in future dollars, we can use the following formula:
AE = (PV × r) / (1 - (1 + r) -n),
where AE is the annual equivalent, PV is the present value, r is the interest rate, and n is the number of years.
We can set n to vastness expecting a constant revenue source. Thus,
AE = ($108,796.30 × 0.08) / (1 - (1 + 0.08) ^ -∞)
AE = $8,703.70
Therefore, the perpetual equivalent annual value in future dollars for years 1 through infinity is $8,703.75.
Present value :Present worth is the idea that expresses a measure of cash today is worth more than that equivalent sum from now on. All in all, cash got in what's in store isn't worth however much an equivalent sum got today. Five years from now, $1,000 will be worth more than $1,000.
The amount of money that must be invested to achieve a specific future objective is called the present value. The dollar amount that will increase over time when an investment is made is called future value. The amount you need to put in now to get the value in the future is called the present value.
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Cantrell company is required by law to collect and send sales taxes to the state. If cantrell has $8,000 of cash sales that are subject to an 8% sales tax, what is the journal entry to record the cash sales? multiple choice debit cash $8,000; credit sales $7,360; credit sales taxes payable $640. Debit sales taxes payable $640; debit cash $7,360; credit sales $8,000. Debit cash $8,000; credit sales $8,000; and record the taxes when paid. Debit cash $8,640; credit sales $8,000; credit sales taxes payable $640. Debit accounts receivable $8,640; credit sales $8,000; credit sales taxes payable $640
The correct journal entry to record the cash sales for Cantrell Company would be: Debit Cash $8,000; Credit Sales $8,000; Credit Sales Taxes Payable $640.
The sales taxes collected from customers are considered a liability until they are remitted to the state, so Sales Taxes Payable should be credited for the amount of tax collected ($640) and Cash should be debited for the total amount received ($8,000).
The offsetting credit should go to Sales for $8,000, representing the revenue earned from the sale. When the sales taxes are remitted to the state, the Sales Taxes Payable account would be debited and Cash would be credited for the same amount ($640).
Debit Cash $8,000;
Credit Sales $8,000;
Credit Sales Taxes Payable $640.
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Wendy has had a life insurance policy for five years with her spouse listed as the person who receives the benefit if she dies. She was recently divorced. Which of the following provisions should she take action on?
a) Incontestability clause
b) Misstatement of age provision
c) Naming a beneficiary
d) Policy reinstatement
e) The grace period
Answer:
Option C
Explanation:
In simple words, A designated beneficiary , often termed as named beneficiary, refers to a person who is stipulated by a signed legal contract and who has the right to receive money from a fund, insurance fund, pension scheme account, IRA, or some other digital currency. By the point of transaction several designated owners of a single property would share in the profits.
who here from K12? (sorry for asking this question)
Answer:
Explanation:
Answer:
Not I.
Explanation:
This is just constructive criticism, but I don't recommend listing your school here.
activity a, duration 3, predecessor none activity b, duration 6, predecessor a activity c, duration 3, predecessor a activity d, duration 3, predecessors b, c activity e, duration 4, predecessor d activity f, duration 6, predecessor d what is the slack for activity e in time units?
Since the total float is negative, it indicates that activity E is a critical activity and cannot be delayed without delaying the project's completion time. Therefore, the slack for activity E is 0 time units.
To determine the slack for activity E, we need to calculate the total float for that activity. Total float measures the amount of time an activity can be delayed without delaying the project's overall completion time.
The formula to calculate total float is: Total Float = Late Start - Early Start
In this case, since activity E has only one predecessor (activity D), we can calculate the total float as follows:
Early Start of E = Early Finish of D
= Early Start of D + Duration of D
= Early Start of B + Duration of B (since B is the longest path to D)
= 0 + 6 (since the early start of B is 0)
Late Start of E = Late Finish of D - Duration of E
= Late Start of F - Duration of F (since F is the last activity in the project)
= 3 (since the late start of F is 3)
Total Float for E = Late Start of E - Early Start of E
= 3 - 6
= -3
Since the total float is negative, it indicates that activity E is a critical activity and cannot be delayed without delaying the project's completion time. Therefore, the slack for activity E is 0 time units.
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) Suppose that the linear equation for consumption in a hypothetical economy is C = $40 + .8Y. Also suppose that income (Y) is $400. Determine (a) the marginal propensity to consume, (b) the marginal propensity to save, (c) the level of consumption, (d) the average propensity to consume, (e) the level of saving, and (f) the average propensity to save.
Answer:
(a) The marginal propensity to consume is equal to 0.8.
(b) The marginal propensity to save is equal to 0.2.
(c) The level of consumption is equal to $360.
(d) The average propensity to consume is equal to 0.90.
(e) The level of saving is equal to $40.
(f) The average propensity to save is equal to 0.10.
Explanation:
Given:
C = $40 + 0.8Y ................... (1)
Y = $400 .............................. (2)
(a) the marginal propensity to consume (MPC)
This can be determined by differentiating equation (1) with respect to Y as follows:
MPC = dC/dY = 0.8
Therefore, the marginal propensity to consume is equal to 0.8.
(b) the marginal propensity to save (MPS)
MPS = 1 – MPC
Since MPC = 0.8, we have:
MPS = 1 – 0.8 = 0.2
Therefore, the marginal propensity to save is equal to 0.2.
(c) the level of consumption (C)
Since Y = $400, we substitute into equation (1) to have:
C = $40 + (0.8 * $400) = $40 + $320 = $360
Therefore, the level of consumption is equal to $360.
(d) the average propensity to consume (APC)
This can be calculated as follows:
APC = C / Y = $360 / $400 = 0.90
Therefore, the average propensity to consume is 0.90.
(e) the level of saving (S)
This can be calculated as follows:
S = Y - C = $400 - $360 = $40
Therefore, the level of saving is $40.
(f) the average propensity to save (APS)
This can be calculated as follows:
APS = S / Y = $40 / $400 = 0.10
Therefore, the average propensity to save is 0.10.
if discrimination confines certain groups to lower-paying jobs, then the supply of workers for those jobs will
If discrimination confines certain groups to lower-paying jobs, then the supply of workers for those jobs will likely increase.
If discrimination confines certain groups to lower-paying jobs, then the supply of workers for those jobs will likely increase. Discrimination can create barriers and limit opportunities for marginalized groups, leading to a higher concentration of individuals from these groups in lower-paying jobs. As a result, there may be a larger pool of available workers for these positions compared to higher-paying jobs. This increased supply of workers can contribute to a continued cycle of lower wages and limited upward mobility for those affected by discrimination. It is important to address and eliminate discrimination to ensure equal opportunities and fair compensation for all individuals, regardless of their background or identity.
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In a short response of approximately 75 words, explain what type of company would elect to develop and manage an internal marketing department.
The company would elect to develop and manage an internal marketing department in Mid-sized regional companies.
What is internal marketing?Organizational objectives, products, and services are promoted to its internal employees through internal marketing. Businesses should place high importance on internal marketing because it has become a crucial part of a successful marketing strategy.
Employee participation boosts and strengthens the company's already strong culture, which fosters a positive work environment and greater relationship-building. Promoting commercial products is their primary goal.
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In his work for a new company, Byron found a flower material that he could use to manufacture dresses. In his career, Byron is most likely focused on the
animal system pathway.
plant system pathway.
agribusiness system.
natural resource system.
Answer:
into how many geographical region Nepal has divided ?describe them in a few line
Answer:
your answer would be b!
Explanation:
i did the unit test revew
11. What are assets?
O
a business organization owned by two or more persons who agree on a specific division of responsibilities and profits
O
assessments on a partnership such as taxes
money and other valuables belonging to an individual or business
a type of partnership in which partners share equally in both responsibilities and liabilities
Answer:
assessments on a partnership such as taxes
money and other valuables belonging to an individual or business
Explanation:
assets are company possession and fall under micro environment (internal environment)
A direct mail company wishes to estimate the proportion of people on a large mailing list that will purchase a product. Suppose the true proportion is 0.07.
If 420 are sampled, what is the probability that the sample proportion will be less than 0.057 Round your answer to four decimal places.
A large mailing list's proportion can be estimated using the one-sample proportion, z-test statistic. The value of the test statistic is determined using the proportions of the sample and the population.
The value of the z-test statistic can also be used to estimate or test a hypothetical statement about a population proportion in the context of testing the hypothesis.
How is the normal probability problem solved?The following is how the probability of P(a Z b) is determined.The probabilities under the standard normal distribution curve for each of these are then expressed:P(Z b) minus P(Z a) equals (b) minus (a).Therefore, where a and b are positive, P(a Z b) = (b) – (a).
P(sample proportion will be below 0.05)
= P(р 0.05)
= P(Z (0.05 - 0.07)/0.0175)
= P(Z -1.14)
= 0.1271
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How are productivity, earnings, and standard of living related?
Answer:
u work hard for the life u want
______ Is a market in which a large number of suppliers compete with each other to satisfy the needs and wants of a large numbers of consumers at a competitive price.???
Answer : Monopolistic competition
Answer:
Monopolistic Competition
Explanation:
In a monopolistic competitive market, there are large numbers of sellers who do not sell identical products instead they sell differential products. They compete with each other at a competitive price. The products could be differentiated in many ways including quality, style, location and even brand name. Since they compete at a competitive price, if there is a substantial rise in the price of any of the products, the buyers could quickly shift from one product to another. The most crucial factor behind product differentiation is because of geographical factors. Under a monopolistic competitive market, the sellers do not have any influence over customer loyalty and limited control over the price.
inbar could either invest $30,000 in a stock or she could use $30,000 as a down payment in order to invest in $150,000 in real estate. what is this an example of?
This is an example of an investment decision. Investing in stocks and investing in real estate are two of the most common types of investments.
When making an investment decision, it is important to consider the risks and rewards associated with each option, as well as the time horizon of the investment. In this case, investing in stocks could potentially provide a higher return over a shorter time frame compared to investing in real estate. However, investing in real estate could provide a better return over a longer time frame, as well as provide potential income from rental payments. Ultimately, the decision should be based on which option best meets the individual's financial goals.
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Pinder Co operates under the assumptions of Mogliani and Miller, with the only exception that there are corporate taxes of 30%. Pinder Co is considering issuing $500 million in perpetual corporate bonds with an interest rate of 6% and will use those proceeds to repurchase shares. If Pinder Co goes through with this plan, how much would the value of Pinder Co as a whole increase by?
Group of answer choices
a) $200 million
b) $150 million
c) $250 million
d) None of the other answers are correct.
e) $300 million
The value of Pinder Co as a whole would increase by $300 million if it goes through with the plan to issue $500 million in perpetual corporate bonds with an interest rate of 6% and use the proceeds to repurchase shares. This answer is represented by option (e).
The increase in value can be calculated using the Modigliani-Miller theorem, which states that the value of a firm is independent of its capital structure under certain assumptions. However, in this case, the assumption of corporate taxes of 30% is made. The presence of corporate taxes affects the value of the firm.
When Pinder Co issues the corporate bonds and uses the proceeds to repurchase shares, it increases the debt level of the company. As a result, the interest expense on the corporate bonds reduces the taxable income of the company, thereby reducing the corporate tax paid.
This tax shield provides a benefit to the firm and increases its value. In this case, the interest expense on the corporate bonds would be 6% of $500 million, which equals $30 million. The tax shield provided by this interest expense would be 30% of $30 million, which equals $9 million.
Therefore, the value of Pinder Co would increase by the present value of this tax shield, which is $9 million divided by the corporate tax rate of 30%, resulting in an increase of $30 million. Additionally, the repurchase of shares using the bond proceeds also has an effect on the value of the firm.
The repurchase of shares reduces the number of shares outstanding, which increases the earnings per share (EPS) and, consequently, the value of the company. The increase in value due to the repurchase of shares is equal to the repurchased shares multiplied by the market price per share.
However, the information provided does not include the number of shares repurchased or the market price per share, so this aspect cannot be precisely determined.
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Bill was 150 pounds overweight but his insurance premiums significantly dropped after he lost weight by going to a local health club and sending his insurance company recored of his monthly visits with a personal trainer what kind of measures did bill take that led for his insurance premiums to drop
The kind of measures that Bill took which made his insurance premiums to drop is a preventative measure.
What is a preventative measure?In insurance, a preventative measure can be defined as a kind of measure that typically involves reducing the degree of risk associated with an insurance object, and mitigating (decreasing) the negative impact of potential insurance-related accidents on the insured.
In this context, we can infer and logically deduce that the kind of measures that Bill took which made his insurance premiums to drop is a preventative measure.
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What would you pay for a $30,000 debenture bond that matures in 10 years and pays $3,000 a year in interest if you wanted to earn a yield of: (For calculation purposes, use 5 decimal places as displayed in the factor table provided.) 10% ? (Round answer to 0 decimal places, e.g. 458,581.) Amount to pay 12% ? (Round answer to 0 decimal places, e.g. 458,581.) Amount to pay $ 8% ? (Round answer to 0 decimal places, e.g. 458,581.) Amount to pay $
For a 10% yield: $18,393,- For a 12% yield: $20,367,- For an 8% yield: $20,104. To calculate the amount to pay for a $30,000 debenture bond that matures in 10 years and pays $3,000 a year in interest, we need to use the present value formula.
The formula to calculate the present value of an annuity is:PV = C × (1 - (1 + r)^(-n)) / r Where: PV = Present value ,C = Cash flow per period (interest payment),r = Interest rate per period,n = Number of periods. Let's calculate the amounts to pay for different yield rates:
1. For a 10% yield: PV = $3,000 × (1 - (1 + 0.10)^(-10)) / 0.10
PV = $3,000 × (1 - 0.38687) / 0.10
PV = $3,000 × 0.61313 / 0.10
PV = $18,393.90 ,Therefore, the amount to pay for a 10% yield is $18,393.
2. For a 12% yield:PV = $3,000 × (1 - (1 + 0.12)^(-10)) / 0.12 ,PV = $3,000 × (1 - 0.32288) / 0.12,PV = $3,000 × 0.67712 / 0.12
PV = $20,366.67.Therefore, the amount to pay for a 12% yield is $20,367.
3. For an 8% yield: PV = $3,000 × (1 - (1 + 0.08)^(-10)) / 0.08 ,PV = $3,000 × (1 - 0.46319) / 0.08 ,PV = $3,000 × 0.53681 / 0.08.
PV = $20,103.75. Therefore, the amount to pay for an 8% yield is $20,104.
In summary, the amounts to pay for different yield rates are: - For a 10% yield: $18,393,- For a 12% yield: $20,367,- For an 8% yield: $20,104.
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an investment adviser representative (iar) wants to take a part-time job giving scuba lessons. this is permitted:
Executing client requests in line with industry trading laws and business standards is the Investment Representative's responsibility.
What is an investment representative?The Investment Representative's duties include carrying out client instructions in accordance with firm policies, industry trading regulations, and market activity, as well as providing accurate and timely information on market activity, business products and services, and customer account information.
An entity or person who receives compensation for advising customers on investments is known as an investment adviser. Investment advisers and financial advisors are not the same, despite the fact that the words sound similar.
Recommendations and advice on the value, purchase, and selling of stocks can be given by representatives of investment advisers. Additionally, they have the ability to oversee other staff members who work in a similar capacity and manage client portfolios or accounts.
The complete question is:
An Investment Adviser Representative (IAR) wants to take a part-time job giving SCUBA lessons. This is permitted:
A. under no circumstances
B. if the Investment Adviser that employs the IAR says that it is allowed
C. if the Investment Adviser Representative does not earn any compensation for giving the SCUBA lessons
D. if the Investment Adviser Representative does not give investment advice or sell securities
Therefore, the correct answer is option b) if the Investment Adviser that employs the IAR says that it is allowed.
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