Ramon discusses his accomplishment in generating money during an interview, mentioning that he was able to secure three grants for a combined $140,000 for his group. This statement refers to the results of the STAR method.
A behavioural-based interview question can be answered in a methodical way using the STAR approach by outlining the precise setting, task, action, and outcome of the scenario one is describing.
Situation: Describe the circumstance you found yourself in or the work you had to complete. One must describe a particular instance or circumstance, not a broad overview of one's past actions. To ensure that the interviewer understands, provide sufficient detail. This circumstance may have occurred in prior employment, while volunteering, or in any other pertinent circumstance.
Task-What was the task you were pursuing?
Action: Keep the attention on one while providing sufficient detail about the steps one did to remedy the matter. What precise actions did one take, and what did one contribute specifically? Be careful when discussing a team or group to avoid describing what one did. Not the actual project one completed. When describing acts, use "I" rather than "we."
Result: Describe how activities turned out, and don't be embarrassed to claim responsibility. What took place? How did everything come to a close? What did one manage to do? What did one discover? Make sure one's response has several affirmative outcomes.
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A company that uses the accrual method of accounting started the fiscal year with assets of $600,000 and liabilities of $400,000. During the fiscal year the company recorded credit sales of $250,000, of which $8,000 remained to be collected at year end, and incurred expenses of $90,000, of which $72,000 was paid in cash. A stock dividend valued at $10,000 was declared and issued to stockholders during the year. What is the year-end balance of total equity
Answer:
$360,000
Explanation:
Calculation to determine What is the year-end balance of total equity
First step
Beginning equity = Total assets - Total liabilities.
Beginning equity= $600,000 - 400,000
Beginning equity= $200,000
Second step
Net income = Revenues - Expenses
Net income= $250,000 - $90,000
Net income= $160,000
Last step
Ending balance of Equity = Beginning equity + Net income
Ending balance of Equity = $200,000 + $160,000
Ending balance of Equity = $360,000
Therefore the year-end balance of total equity is $360,000
which training method is conducive for a small brokerage office
The on-the-job training method is conducive for a small brokerage office.
The on-the-job training method is the most suitable for a small brokerage office due to its practical nature and cost-effectiveness. In this approach, employees learn by performing actual tasks and responsibilities within the office environment. This hands-on experience allows them to acquire the necessary skills and knowledge specific to their roles.
As a small brokerage office typically has a close-knit team and a focused scope of operations, on-the-job training can be tailored to address the specific needs and challenges of the business. Additionally, this method promotes a collaborative learning environment where experienced colleagues can directly mentor and guide new hires, fostering a sense of camaraderie and teamwork within the office.
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Which of the following describes the path–goal theory? ANSWER Unselected Identifies leadership style by measuring whether a person is task oriented or relationship oriented Unselected States that successful leadership depends on selecting the right leadership style contingent on the follower’s readiness Unselected Proposes that effective group performance depends on the proper match between the leader’s style and the degree to which the situation gives the leader control Unselected Suggests that it’s the leader’s job to provide followers with information, support, or other resources necessary to achieve goals
Answer:
I. The least preferred co-worker (LPC) questionnaire.
II. The situational leadership theory (SLT).
III. Fiedler contingency model.
IV. Path-goal theory.
Explanation:
A leader can be defined as an individual who is saddled with the responsibility of controlling, managing and maintaining a group of people under him or her.
Some types of power expressed by leaders are referent power, coercive, etc.
Generally, managers are typically involved in taking up leadership roles and as such are expected to be build a strong relationship between their employees or subordinates by creating a fair ground for effective communication and sharing of resources and information.
I. The least preferred co-worker (LPC) questionnaire: identifies leadership style by measuring whether a person is task oriented or relationship oriented.
II. The situational leadership theory (SLT): states that successful leadership depends on selecting the right leadership style contingent on the follower’s readiness.
III. Fiedler contingency model: proposes that effective group performance depends on the proper match between the leader’s style and the degree to which the situation gives the leader control.
IV. Path-goal theory: suggests that it’s the leader’s job to provide followers with information, support, or other resources necessary to achieve goals
Money you pay up front to reduce the amount you will owe is called a
A. fixed loan
B. late payment
C. down payment
D. short-term loan
Answer:
down payment
Explanation:
A down payment is money paid upfront in a financial transaction, such as the purchase of a home or car. Buyers often take out loans to finance the remainder of the purchase price.
Answer:
down payment
Explanation:
Hi pls help is from economy class
03.08 free trade and barriers
The media chosen are television and Social media and the topic is news and gossips.
What is the media news about?Issue/topic: For the news program, the issue/topic may be related to later exchange understandings or transactions, or the affect of taxes and exchange boundaries on various industries. For the talk post, the issue/topic may well be related to the contention contains all of the specific company's commerce products.
Creator's perspective: For the news program, the creator's perspective may be more impartial, as they are announcing on current occasions related to exchange and may not necessarily express a solid supposition. For the gossip post, the creator's perspective may be more one-sided towards protectionism in the event that they are criticizing a company for bringing in or trading items.
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1. Choose two visual, text, or other media items that express opinions about trade agreements, barriers to trade, or free trade. The media items can be the same or different formats but should from within the past year. Be sure to include both media items, or directions on how to access them, with your assessment.
2. Analyze the messages. For each media item, respond to the following questions in complete sentences. Use details from the media item and information from the lesson to justify your responses.
• What issue is the topic of this media item? Explain how you know.
• What is the creator's viewpoint on the issue? Cite visual and/or text details from the media item to support your response.
• Does this viewpoint reflect a commitment to free trade or to protectionism? Explain your answer and include evidence from the media item to support your response.
• Do you agree or disagree with the viewpoint expressed in the media item you chose? Explain why or why not, using facts from the lesson regarding the topic. 3. Check your work. Review your work for completion, clarity, spelling, and grammar. Your submission must include your media items and/or access directions and detailed answers to the analysis questions for both media items.
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Free trade is a policy that allows traders to act without government interference, removing artificial barriers such as tariffs, quotas, and subsidies. Trade barriers, set by governments, protect domestic industries from foreign competition, preserving jobs and preventing developmental exploitation.
Explanation:The subject of this question is related to free trade and barriers, a topic from your economy class. Free trade is a trade policy that allows traders to act and transact without interference from the government. It involves the elimination of artificial barriers such as tariffs, quotas, and subsidies. Examples of barriers to trade include tariffs, quotas, and embargoes.
On the other hand, barriers are put in place by governments to protect domestic industries from foreign competition. While free trade encourages competition and efficiency, barriers can protect jobs and prevent exploitation of developing nations. Understanding when and why each method is used is crucial to understanding international business and economic policy.
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Private companies will invest in medical research if.
Private companies will invest in medical research if there is potential for profitable returns on investment, the pharmaceutical industry, for example, invests billions of dollars in research and development in the hopes of creating new drugs that can generate significant revenue.
Private companies will invest in medical research if there is potential for profitable returns on investment, the pharmaceutical industry, for example, invests billions of dollars in research and development in the hopes of creating new drugs that can generate significant revenue. This is because companies need to recoup the cost of research and development, and also make a profit. Another factor that may incentivize private companies to invest in medical research is the opportunity to gain a competitive advantage in the market. If a company is the first to develop a new treatment or drug, it can establish a dominant position in the market and potentially generate substantial profits. Government incentives and regulations can also play a role in encouraging private investment in medical research. For example, tax credits or subsidies can make research and development more affordable for companies, while patent protection can ensure that companies can profit from their discoveries. Ultimately, private companies will invest in medical research if they believe that the potential benefits outweigh the costs and risks involved. This requires careful analysis and evaluation of the potential market, competition, and regulatory environment, as well as a willingness to take on significant financial risk in the pursuit of medical innovation.
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3. Which of the following would NOT be a factor that affects which products a retailer chooses
to select to offer in a store?
A. Local customer preferences
B. Manufacturer incentives
C. Employee preferences
D. The store's location
ailor's
Employee choices wouldn't have any influence on the products a retailer selects.
What elements influence retail stores? What are the top five most crucial elements for a retail market?Location, marketing, shop design and appearance, service and selection, and bundle selling are the five pillars of retail success. Let's examine how each of them can assist you in starting a profitable retail business.
What are the seven elements that influence where an industry is located?The seven variables that affect whether or not an industry is established are: the supply of materials, labour, capital, market access, the availability of a plentiful supply of electricity, transport modes like railroads and roads for the road transport of finished goods and raw materials, and the availability of land.
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Why might a default crisis be associated with an exchange rate crisis?
A. A large depreciation causes a sudden decrease in the local currency value of international debts denominated in other currencies.
B. A government is unable to pay principal or interest on debt owed to banks.
C. A large depreciation causes a sudden increase in the local currency value of international debts denominated in other currencies.
D. Banks close or declare bankruptcy.
A default crisis can be associated with an exchange rate crisis because a large depreciation of the local currency value can cause a sudden increase in the value of international debts denominated in other currencies.
The correct answer is option C. A large depreciation causes a sudden increase in the local currency value of international debts denominated in other currencies. This association between a default crisis and an exchange rate crisis can be explained as follows:
When a country's currency experiences a significant depreciation, it means that the local currency loses value relative to other currencies. In such a scenario, the value of the country's international debts, which are denominated in other currencies, increases when measured in terms of the local currency. This increase in the local currency value of international debts can create difficulties for the country in meeting its debt obligations.
If a government is unable to make timely payments of principal or interest on its debt owed to banks and defaults on its debt obligations, it can trigger a default crisis. This default crisis can be linked to the exchange rate crisis caused by the large depreciation of the local currency value, as it becomes more challenging for the government to repay its debts due to the increased burden resulting from the exchange rate movement.
Therefore, the association between a default crisis and an exchange rate crisis is primarily due to the impact of currency depreciation on the local currency value of international debts, which can lead to difficulties in meeting debt obligations and trigger a default crisis.
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What
are the two types of Financial Risk? What is the risk-return
tradeoff?
What
determine the Structure
of Interest Rates and name the three primary shapes of
the
Structure
of Interest Rates?
1. The two types of financial risk are systematic risk and unsystematic risk.
2. The risk-return tradeoff states that higher returns are associated with higher levels of risk.
3. The structure of interest rates is determined by supply and demand, inflation expectations, and monetary policy.
4. The three primary shapes of the structure of interest rates are upward-sloping, downward-sloping, and flat yield curves.
1. The two types of Financial Risk:
a) Systematic Risk: Also known as market risk, systematic risk refers to risks that affect the entire market or a specific sector. It is caused by external factors such as economic conditions, political events, or natural disasters. Systematic risk cannot be diversified away and affects all investments in the market.
b) Unsystematic Risk: Also known as specific risk or idiosyncratic risk, unsystematic risk pertains to risks that are specific to an individual company or industry. It can be mitigated through diversification. Examples of unsystematic risk include company-specific events, management changes, or product recalls.
2. The risk-return tradeoff: The risk-return tradeoff is the principle that higher potential returns are associated with higher levels of risk. Investments with higher risk typically have the potential for greater returns, but they also carry a higher likelihood of loss. Conversely, investments with lower risk tend to have lower potential returns. Investors need to assess their risk tolerance and investment goals to find the right balance between risk and return.
3. Factors determining the structure of interest rates:
a) Supply and Demand for Credit: The supply and demand for credit in the market influence interest rates. When there is high demand for credit and limited supply, interest rates tend to increase. Conversely, when there is low demand and abundant supply, interest rates tend to decrease.
b) Inflation Expectations: Inflation expectations impact interest rates. If individuals and businesses anticipate higher inflation in the future, lenders will demand higher interest rates to compensate for the eroding purchasing power of money over time.
c) Monetary Policy: Actions taken by central banks to manage the money supply and influence interest rates can affect the structure of interest rates. For example, if a central bank raises interest rates as part of its monetary policy, it can lead to an increase in overall interest rates.
4. Three primary shapes of the structure of interest rates:
a) Upward-sloping (Normal) Yield Curve: This occurs when longer-term interest rates are higher than shorter-term rates. It signifies an expectation of economic expansion and higher inflation in the future.
b) Downward-sloping (Inverted) Yield Curve: This occurs when shorter-term interest rates are higher than longer-term rates. It is often seen as a sign of economic recession or a market expectation of future interest rate decreases.
c) Flat Yield Curve: This occurs when the interest rates across different maturities are relatively similar. It can reflect a neutral market expectation with no strong indications of future economic conditions.
Understanding these concepts and factors is essential for making informed financial decisions and managing risks in investment and finance.
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Suppose that the fed has set the reserve ratio at 10 percent and that banks collectively have $2 billion in excess reserves. What is the maximum amount of new checkable-deposit money that can be created by the banking system?.
The maximum amount of new checkable-deposit money that can be created by the banking system = $20
What is new checkable-deposit money?The expansion of the money supply caused by the circulation of surplus reserves is known as the new checkable-deposit currency. By means of a monetary multiplier, the excess reserve generates fresh checkable deposit money.
According to the given information:New Checkable-Deposit Money= Excess Reserve x Monetary Multiplier
D = E x m
The monetary multiplier is expressed as the inverse of the required reserve ratio.
monitory multiplier = 1/Required reserve ratio
M = 1/R
Step 2: Calculations
Given that R = 0.1 ( or 10%), the monetary multiplier is:
m = 1/0.1
= 10.
Since excess reserves are $2 billion, the new checkable-deposit money is:
D = $ 2 billion x 10
= $ 20 billion
Hence, the answer is $20 billion.
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arkansas escrow agent norman received the earnest money deposit from his clients bud and barbara on friday, january 6, the day the contract was signed by both parties. he must deposit the earnest money by the end of what day?
The timeline for depositing earnest money can vary depending on state laws and contractual agreements.
In most cases, an escrow agent like Norman is required to deposit the earnest money within a reasonable period of time. The specific time frame may be outlined in the contract or governed by state laws. It is crucial to consult the contract or seek legal advice to ensure compliance with the applicable regulations.
In the absence of specific contractual or legal requirements, it is generally considered good practice for the escrow agent to deposit the earnest money as soon as possible after receiving it. This helps maintain transparency and demonstrates good faith between the parties involved in the transaction.
In the given scenario, if the contract was signed and the earnest money was received by Norman on Friday, January 6, the deposit should ideally be made within the next business day or within a reasonable time frame thereafter.
Typically, this means that the earnest money should be deposited by Monday, January 9, or the next business day following the receipt of the funds.
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What are the 5 advantages of writing out a budget?
Explanation:
Provides You 100% Control Over Your Money.
Let's You Track Your Financial Goals.
Budgeting Will Open Your Eyes.
Will Help Organize Your Spending.
Will Help Create a Cushion for Unexpected Expenses.
Budgeting Makes Talking About Finances Much Easier.
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indiana instruments sells handheld communication devices for $75 during august as a back-to-school special. the normal selling price is $125. the standard variable cost for each device is $95. sales for august had been budgeted for 400 units nationwide; however, due to the slowdown in the economy, sales were only 300. the sales volume variance is:
Due to the slowdown in the economy, sales were only 300. the sales volume variance is $12,500 U.
=(AP - BP) x AQ
=($75 - $125) x 300
=$15,000 U
Sales volume variance
=(AQ - BQ) x BP
=(300 - 400) x $125
=$12,500 U
An economic system encompasses all of the activities associated with the manufacturing, consumption, and alternative of goods and offerings in an entity, whether the entity is a kingdom or a small town. No economies are equal. every is fashioned according to its own assets, tradition, legal guidelines, history, and geography.
A distinguished instance of an economy is the conventional economy that encompasses the customs and records of a kingdom to guide the production and distribution of goods. conventional economies are frequently based on agriculture, fishing, and searching. financial structures can be categorized into four fundamental kinds: traditional economies, command economies, mixed economies, and marketplace economies.Learn more about the economy here: https://brainly.com/question/17996535
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refer to exhibit duckett group. what will be the total cost to duckett of maintaining the optimal average cash balance, as determined by the baumol model?
The total cost to Duckett of maintaining the optimal average cash balance using Baumol model is c. $7,071.
What is Baumol model?Baumol model is model in economic that emphasizing on maintaining the optimal cash balances that meet the corporation obligation while pursuing profitable investment opportunities.
From the statement we know,
net new cash = $5,000,000
fixed transaction cost of conversion = $50
return rate = 10%
So we can calculate the optimal transaction size.
Optimal transaction size = \(\sqrt{\frac{2\times \text{fixed transaction cost of conversion} \times \text{new cash}}{\text{return rate}}}\)
= \(\sqrt{\frac{2\times 50 \times 5,000,000}{0.1}}\)
= \(\sqrt{5,000,000,000}\)
= $70,711
Then for total cost is,
Total cost = (optimal transaction size/2*return rate) + (new cash/optimal transaction size*fixed transaction cost of conversion)
= (70,711/2*0.1) + (5,000,000/70,711*50
= 3,535.5 + 3,535.5
= $7,071
Thus, the total cost is $7,071.
You question is incomplete, but most probably your full question was
(image attached)
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managing volunteers is not like managing professional first responders because: a. volunteers have varying motivations and may have time limitations. b. volunteers have to bring their own equipment. c. volunteers do not belong to unions. d. volunteers do not require supervision.
Managing volunteers is not like managing professional first responders because (a.) Volunteers have varying motivations and may have time limitations is correct option.
Managing volunteers is not like managing professional first responders because volunteers often have varying motivations and may have time limitations. Unlike professional first responders who are trained, equipped, and paid to respond to emergencies, volunteers typically have other commitments such as work, school, or family responsibilities. As a result, their availability and willingness to participate in emergency response activities can be unpredictable.
In addition, volunteers often bring their own equipment, but this does not mean that they do not need supervision. Volunteers still require direction, guidance, and support to ensure that they are fulfilling their roles effectively and safely. While they may not belong to unions, volunteers are still entitled to proper training, protection, and compensation (if applicable) for their services.
Overall, managing volunteers requires a different approach than managing professional first responders due to the unique challenges and considerations that come with working with a diverse group of individuals who are contributing their time and skills voluntarily.
Therefore, the correct option is (A).
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Explain effective demand in your
own words
Explanation:
Effective demand refers to a situation in which equilibrium output is determined solely by the level of aggregate demand. This is because of the assumption that supply is perfectly elastic. If there exists any difference between AD and AS, the equilibrium output will be determined only by AD.
Indicate how each of the following transactions affects US exports, imports, and net exports.
Transaction
Effect On...
U.S. Exports U.S. Imports U.S. Net Exports
A British scholar spends a year at Harvard University as a visiting scholar.
Your parents go on a trip to Japan in late March for the Cherry Blossom season.
A Canadian buys a new Ford.
The student bookstore at Yale University sells books published by Cambridge University Press.
A European family goes to Disney World in Florida for vacation.
Choice for the table are: increase, decrease, or unchanged
Answer: See explanation
Explanation:
Exports are the goods and the services that a particular country produces and sells to other countries.
Imports are the goods produced in other countries and sold to ones country.
Net export is the difference between the export an import. An increase in export leads to a rise in the net export.
Based on the above explanation, the answer to the question will be:
1. A British scholar spends a year at Harvard University as a visiting scholar.
US exports - Increase
Imports - Unchanged
Net exports - Increase
2. Your parents go on a trip to Japan in late March for the Cherry Blossom season.
US exports - Unchanged
Imports - Increase
Net exports - Decrease
3. A Canadian buys a new Ford.
US exports - Increase
Imports - Unhanged
Net exports - Increase
4. The student bookstore at Yale University sells books published by Cambridge University Press.
US exports - Unchanged
Imports - Increase
Net exports - Decrease
5. A European family goes to Disney World in Florida for vacation.
US exports - Increase
Imports - Unhanged
Net exports - Increase
______ is a payment by a firm to a hostile party for the firm's stock at a premium, made when the firm's management feels that the hostile party is about to make a tender offer.
______________________ include both the private costs incurred by firms and also costs incurred by third parties outside the production process
Social costs include both the private costs incurred by firms and also costs incurred by third parties outside the production process. Therefore, below is a further explanation.
What are Social costs and its inclusion?Social costs are costs that include both the private costs incurred by firms and also additional external costs incurred by third parties outside the production process.
Therefore, the answer is social costs.
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What societal force was in place in mainstream American culture until the 1960s that resulted in separation of people along racial and other lines
Answer:
segregation
Explanation:
There was a societal force that was in place in mainstream American culture until the 1960s. This societal force was segregation that resulted in the separation of people along racial and other lines.
The United States remains a segregated society in respect of housing patterns and church membership despite all the legal changes that have taken place since the 1960s.
true or false? an informal leader is one who is free to act?
1) Synovec Co. is growing quickly. Dividends are expected to grow at a rate of 30 percent for the next three years, with the growth rate falling off to a constant 4 percent thereafter. If the required return is 11 percent, and the company just paid a dividend of $2.15, what is the current share price
Answer:
P0 = $60.23475 rounded off to $60.23
Explanation:
To calculate the market price of the stock today, we will use the two stage growth model of DDM. The two stage growth model calculates the values of the stock today based on the present value of the expected future dividends from the stock. The formula for price today under this model is,
P0 = D0 * (1+g1) / (1+r) + D0 * (1+g1)^2 / (1+r)^2 + ... + D0 * (1+g1)^n / (1+r)^n + [(D0 * (1+g1)^n * (1+g2)) / (r - g2)] / (1+r)^n
Where,
D0 is the dividend today g1 is the short term growth rate g2 is the long term or constant growth r is the required rate of return on the stock
P0 = 2.15 * (1+0.30) / (1+0.11) + 2.15 * (1+0.30)^2 / (1+0.11)^2 +
2.15 * (1+0.30)^3 / (1+0.11)^3 + [(2.15 * (1+0.30)^3 * (1+0.04)) / (0.11 - 0.04)] / (1+0.11)^3
P0 = $60.23475 rounded off to $60.23
describe the two ways you can earn money when you invest in a company’s stock.
Answer:
through capital appreciation or dividends
Explanation:
from investing in shares, a person can expect to earn through capital appreciation for example on the gains made on by the capital when share prices rise
How do you think learning about personal finance can help you in your future—and right now?.
Understanding how to manage your finances is an important life-planning tool that can help set you up for a life without debt; you gain control of financial stresses and have a way to manage the expensive surprises that life can throw at you.
Finance is the have a look at and field of cash, foreign money and capital belongings. it is associated with, however not synonymous with economics, the have a look at of manufacturing, distribution, and intake of money, property, items and offerings.
Finance is a term for topics concerning the control, advent, and study of money and investments. It involves using credit and debt, securities, and funding to finance current tasks using destiny profits flows.
Finance is the elixir that assists inside the formation of recent organizations, and lets in corporations to take benefit of opportunities to grow, employ local workers and in flip guide other organizations and neighborhood, nation and federal authorities thru the remittance of income taxes.
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the similarities of African countries
The similarities between African countries are:
Background on Agriculture in Africa
Despite the great potential for agricultural production in Africa,UNDP states that about 73% of the poor people living in rural areas subsist on less than a dollar a day.In addition, the continent has about 200 million of the world’s hungry people (Millennium Development Goals (MDGs) Technical Support Centre.Furthermore, available statistics suggest that about one-third of the continent’s population is malnourished.Africa is also the only continent where food production has been falling over the years.One of the maximum famous suggestions for the origins of the time period 'Africa' is that it's far derived from the Roman call for a tribe living in the northern reaches of Tunisia, believed to possibly be the Berber human beings. The Romans variously named these human beings 'Afri', 'Afer', and 'If'.
It is brimming full of big things. As the second biggest continent in the world, Africa is jam-full of a number of the world's biggest things: the biggest desolate tract within the globe, the Sahara wilderness (explore it on our Morocco itineraries). The longest river in the world, the Nile River, runs for 6,853km (4,258mi).
Luxembourg is a small, landlocked U. S . Positioned in western Europe and bordered by means of Belgium, France, and Germany. With a population of 642,371, Luxembourg is the simplest Grand Duchy in the world. Its GDP in keeping with a capita of $a hundred and forty,694 makes it the sector's richest.
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When the desired shade is reached, the lightener should be removed with:
A. a towel
B. warm water
C. hot water
D. cool water
End papers used in wrapping should be:
A. wet with neutralizer
B. porous
C. non-porous
D. wet down as you work
When the desired shade is reached, the lightener should be removed with B. warm water.
End papers used in wrapping should be C. non-porous.
What is warm water and non-porous. ?Warm water will help to rinse away the lightener and any remaining product residue without damaging the hair or scalp.
Non-porous end papers are designed to prevent hair color or lightener from bleeding through and staining the surrounding hair, while also helping to keep the hair in place during the wrapping process. Porous end papers, on the other hand, may allow product to seep through and can create an uneven or patchy color result. The end papers should be dry and not wet with neutralizer or any other product.
Therefore the correct options are B,C.
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Peabody. Inc. Has 5000 shares 7% $100 psr value cumulative preferred stock and 50000 shares of $1 par value common stock outstanding at Dec 31 2014 if the board of directors declare a $30000 dividen the?
If the board of directors declares a $30,000 dividend, the: preferred shareholders will receive the entire $30,000.
How to find the preferred shareholders?To calculate the dividend amount for each class of stock, we need to determine how much of the dividend will be allocated to the preferred stock and how much will be allocated to the common stock.
Since the preferred stock is cumulative, any dividends that were not paid in previous years will need to be paid before any dividends can be paid to the common stock. We can calculate the amount of cumulative dividends owed to the preferred stockholders as follows:
Cumulative Dividends Owed = 5000 shares x $100 psr value x 7% = $35,000
Since the board of directors has declared a $30,000 dividend, we can see that this amount is not enough to cover the full amount of cumulative dividends owed to the preferred stockholders. Therefore, the entire $30,000 dividend will be paid to the preferred stockholders, and none will be paid to the common stockholders.
The amount of cumulative dividends owed to the preferred stockholders will be reduced by $30,000, leaving a balance of $5,000. This amount will need to be paid before any future dividends can be paid to the common stockholders.
Therefore, the dividend amount for each class of stock is:
Preferred Stock: $30,000
Common Stock: $0
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define sale trading
Answer:
A trade sale is the sale of a company, or part of a company, to another business that will carry on the company's trade
a company’s interest rate for acquiring outside capital is 6.5ompounded annually. if $35,000 must be borrowed for five years, what is the total amount of interest?
The total amount of interest is $11,450.66..
To calculate the total amount of interest for a $35,000 loan at a 6.5% annual interest rate, we need to use the formula for compound interest:
A = P * (1 + r/n)^(n*t)
where:
A = the total amount after t years
P = the principal amount (in this case, $35,000)
r = the annual interest rate (6.5%)
n = the number of times the interest is compounded per year (in this case, once annually)
t = the number of years
Plugging in the values, we get:
A = $35,000 * (1 + 0.065/1)^(1*5)
A = $35,000 * (1.065)^5
A = $46,450.66
So the total amount to be repaid after five years is $46,450.66. To find the amount of interest paid, we can subtract the original principal from the total amount:
Interest = $46,450.66 - $35,000
Interest = $11,450.66
Therefore, the total amount of interest for the loan is $11,450.66.
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David left $300 in an account that earns 5% interest on
the money he originally deposited. When he collected his
interest, he had earned $60 in interest. How long did he
leave the money in the account?
The amount of time that David did not touch the funds in the account is equal to four years.
Can you explain the concept of earned interest?A person who invests a certain sum of money for a predetermined length of time is entitled to receive a predetermined amount of money on a regular basis as interest on that investment.
The initial investment is equal to $300 (p).
The time, or T, equals X.
The rate of interest yield, denoted by (R), is equal to 5%.
$ 60 is equivalent to simple interest (SI).
Applying the calculation method;
SI = P×T×R/100
Transform T into the focus of the formula;
T = SI×100/P*R
T= 60×100/300×5
T= 6000/1500
T equals four years.
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