If risk-free rate is 2.1% and market return is 15.9%, then the required return of the stock will be 17.418.
In order to calculate the required return of the stock using the Capital Asset Pricing Model (CAPM), we use the formula : Required Return = Risk-Free Rate + Beta × (Market Return - Risk-Free Rate),
We know that : Risk-Free Rate = 2.1%
Market Return = 15.9%
Beta of the stock = 1.11
Substituting the values,
We get,
Required Return = 2.1% + 1.11 × (15.9% - 2.1%),
Required Return = 2.1% + 1.11 × 13.8%
Required Return = 2.1% + 15.318%
Required Return = 17.418%
Therefore, the required return of the stock is 17.418.
Learn more about Stock here
https://brainly.com/question/17152687
#SPJ4
The following selected accounts and normal balances existed at year-end. Make the four journal entries required to close the books: Accounts receivable $45,000, Prepaid insurance 4,500, Land 50,000, Accounts payable 39,000, Notes payable 55,000, Retained earnings 12,000, Dividends 2,000, Fees earned revenue 65,000, Selling expenses 34,500, Administrative expenses 12,750, Miscellaneous expense 1,250.
The required Journal Entries that are required to close the book for the selected four accounts at year-end include the following:
Journal Entries:
December 31,
Debit Fees earned revenue $65,000
Credit Income Summary $65,000
To close the Fees revenue to income summary.
Debit Income Summary $34,500
Credit Selling expenses $34,500
To close the selling expenses to income summary.
Debit Income Summary $12,750
Credit Administrative expenses $12,750
To close the administrative expenses to income summary.
Debit Income Summary $1,250
Credit Miscellaneous expense $1,250
To close the miscellaneous expenses to income summary.
Data Analysis:
1. Accounts to be closed to Income Summary are:
Fees earned revenue $65,000 Income Summary $65,000
Income Summary $34,500 Selling expenses $34,500
Income Summary $12,750 Administrative expenses $12,750
Income Summary $1,250 Miscellaneous expense $1,250
2. Assets and Liabilities accounts:
Accounts receivable $45,000
Prepaid insurance 4,500
Land 50,000
Accounts payable 39,000
Notes payable 55,000
Retained earnings 12,000
Closed to Retained earnings: Dividends 2,000
See related links for closing accounts at year-end at https://brainly.com/question/18882009
Say that Romania puts a tariff of 6% on its exports and 21% on its imports. If Romania has a trade deficit of (equivalent US dollars) $26. 76 billion and gained tariff revenue of $18. 9603 billion, how much are Romania’s imports worth? a. $62. 56 billion b. $64. 29 billion c. $76. 17 billion d. $97. 04 billion Please select the best answer from the choices provided A B C D.
The correct answer is option D. $97. 04 billion. How to calculate Romania’s imports worth? The formula for calculating net exports (NX) is: NX = X - MWhere: X = exports M = imports.
Therefore: M = X - NX Given that Romania gained tariff revenue of $18.9603 billion, the net exports will be: Tariff revenue = 6% of exports + 21% of imports ⇒ 0.06X + 0.21M = $18.9603 billion Substituting the equation M = X - NX, we get0.06X + 0.21(X - NX) = $18.9603 billion0.06X + 0.21X - 0.21NX = $18.9603 billion0.27X - 0.21NX = $18.9603 billion NX = (0.27X - $18.9603 billion)/0.21 billion NX = 0.27X/0.21 - $90.29 billion Given that the trade deficit is $26.76 billion; therefore, NX = -$26.76 billion-$26.76 billion = 0.27X/0.21 - $90.29 billion0.27X/0.21 = $90.29 billion - $26.76 billion0.27X/0.21 = $63.53 billion X = 0.21 × $63.53 billion/0.27X = $49.642 billion The imports of Romania are M = X - NX = $49.642 billion - (-$26.76 billion) = $76.402 billion Therefore, the closest answer to this value is $97.04 billion.
To know more about imports visit:
https://brainly.com/question/27899202
#SPJ11
An American firm that buys foreign exchange because its managers expect the is dollar to depreciate is A) speculating. B) increasing the supply of foreign exchange. C) decreasing the demand for foreign exchange D) hedging.
An American firm that buys foreign exchange because its managers expect the dollar to depreciate is speculating. The correct option is A) speculating.
Speculating involves making financial decisions based on expected future changes in market conditions, such as currency values. In this case, the firm's managers believe that the value of the dollar will decrease relative to other currencies, so they decide to purchase foreign currency now in order to protect the company from potential financial losses due to the dollar's depreciation.
By purchasing foreign currency, the firm is participating in the foreign exchange market. This action can indirectly impact the supply and demand of currencies. However, the firm's primary objective is not to alter the supply or demand of foreign exchange but rather to protect its financial interests. Therefore, options B, C, and D are not the main reasons for the firm's decision to buy foreign exchange.
In summary, an American firm buying foreign exchange in anticipation of the dollar's depreciation is speculating, as they are basing their decision on the expected future change in the value of the dollar. This action is taken to protect the firm's financial interests, rather than to manipulate the foreign exchange market's supply and demand directly. The correct option is A) speculating.
For more about speculating:
https://brainly.com/question/14632010
#SPJ11
how saving account fits with my time horizon retirement
An investment's time horizon is indeed the length of time it will be held before being sold. Choose the best Retirement savings are the most popular long-term investments.
What do you mean by investment?A purchase made with the intention of creating income or capital growth is known as an investment. Appreciation is the term for an asset's value rising over time. A person buys in a good with the intention of using it to build wealth in the future rather than for current consumption.
How can beginners invest?Open a Demat and trading account using your linked banking account. Log into that trading account. Select the shares that you wish to buy or sell. Ensure that you have the requisite amount of funds in your account to buy the shares.
To know more about investment visit:
https://brainly.com/question/27992724
#SPJ1
What is 201 x 1920 and 29 x 29 and 9 x 9 + 9 and fish?
all your pain in one question: (ever experienced one before?)
1. someone bypasses because you are destroying them in a argument
2. someone starts an 30 minute argument with you and doesn't let you leave
3. you encounter a 3rd grader
4. you encounter a 7th grader whos really dense and/or illiterate
5. getting your account deleted for false things.
all your proud moments in one question: (ever experienced one before?)
1. you win a argument
2. you get your account back
3. get revenge because someone reported you for no reason and their question was "PLSS i want A friend PLSSS"
4. help someone pass a test
5. actually learn from brainly
Answer:
jkjjjjjjkjkkoolllllkkkkjuojukjuojikji
the table shows the value of exports and imports for the small country of cherubland. their chief export is tiny cupid arrows. use the table to answer the questions. exports imports goods 101 400 services 50 195 income payments 63 13 unilateral transfers 0 57 what is the value of the merchandise trade balance for cherubland?
The value of the merchandise trade balance for Cherubland is -$299 million. This indicates that Cherubland imported more goods than it exported, resulting in a trade deficit.
The value of the merchandise trade balance is calculated as the difference between the value of goods exported and the value of goods imported.
Exports of goods = 101
Imports of goods = 400
Merchandise trade balance = Exports of goods - Imports of goods
Merchandise trade balance = 101 - 400
Merchandise trade balance = -299
Learn more about merchandise trade balance at: https://brainly.com/question/30165364
#SPJ11
A 20-year bond has a 7.0% coupon rate and face value of $1000. The required return is 10%. What is the percentage change in the price of this bond if the interest rates decrease by 2%? Assume the bond makes semi-annual coupon payments. O Approximately 31% increase O Approximately 31% decrease O Approximately 21% increase O Approximately 21% decrease O Approximately 2% increase
The percentage change in the price of the 20-year bonds with a 7.0% coupon rate, face value of $1000, and semi-annual coupon payments if the required return decreases by 2% is approximately a 31% increase.
Bonds are a type of financial instrument used by governments, corporations, and other organizations to raise money. When an entity issues a bond, they are essentially borrowing money from investors who buy the bond. In return for lending the money, the bondholder receives regular interest payments over the life of the bond and the return of the principal when the bond matures.
Bonds can be bought and sold on financial markets and their value can fluctuate based on factors such as changes in interest rates, credit ratings of the issuer, and economic conditions. Bonds are often considered less risky than stocks because they generally provide a more predictable stream of income and are backed by the creditworthiness of the issuer. However, they also typically offer lower potential returns than stocks over the long term.
Learn more about Bonds: brainly.com/question/26712131
#SPJ11
Which of the following is most likely to create a long-term trend?
A. Fashion
B. Entertainment
C. Television shows
D. Demographics
Demographics is most likely to create a long-term trend. Demographics is the study of the characteristics of human populations, such as age, sex, education, income, and race. The correct answer is option D.
These factors have a significant impact on consumer behavior, and thus, they can create long-term trends in the marketplace. As people age, their preferences change, and they tend to consume different products and services. For example, as the baby boomer generation has aged, there has been a trend towards products and services that cater to their needs, such as retirement communities, healthcare, and leisure activities.
Additionally, changes in education, income, and race can create new trends in consumer behavior. For example, if there is an increase in the number of people with higher education degrees, this could lead to a trend towards products and services that cater to their needs, such as high-tech gadgets, gourmet foods, and luxury vacations. Therefore, demographics is most likely to create a long-term trend. The correct answer is option D.
For more such questions on Demographics
https://brainly.com/question/6623502
#SPJ8
Ben is a double major pursuing degrees in both Finance and Marketing. He is interested in obtaining a position as a personal financial advisor after graduation and is interning with a global financial services company. During his internship, he observes that the most successful advisors wear white shirts, dress very conservatively, and read The Wall Street Journal to stay up to date with the latest business and world news. Ben starts to read The Wall Street Journal too and modifies his dress and grooming style to be more like the representatives he admires. Ben is influenced by _______.
Answer:
A reference group
Explanation:
Design database for a credit department of bank where the bank has multiple branches in different cities along with their assets. The bank has a list of the clients and their loans. Each loan has a deposit?
The database for the credit department of the bank would include the following entities: Branch, Client, Loan, and Deposit. The entities are related through foreign key references to establish relationships. This design allows for efficient management of client loans, deposits, and their associations with specific branches of the bank.
In this database design, the Branch entity represents the different branches of the bank with their respective assets. The Client entity stores information about bank clients. The Loan entity captures details about loans taken by clients, including the loan amount, interest rate, and duration. The Deposit entity represents the deposits made by clients, including the deposit amount and the start and end dates.
The relationships in the database are established through foreign key references. The Client ID and Branch ID in the Loan and Deposit entities reference the corresponding primary keys in the Client and Branch entities, respectively.
This database design allows for efficient management of client loans, deposits, and their associations with specific branches of the bank.
learn more about database here:
https://brainly.com/question/30163202
#SPJ11
Amerigo grew up speaking both English and Italian with his family, and he believes that knowledge of more than one language is a valuable tool. He also believes that the best way to introduce students to a new language is in small groups or in one-on-one conversations. However, his son’s high school offers only one introductory Italian class, which is usually filled with more than 30 students.
Who could Amerigo work with to help provide one-on-one Italian instruction for students?
a. Amerigo could work with instructional designers, publishers, and public university administrators to provide the books, online resources, and language expertise to the school’s Italian teacher.
b. Amerigo could work with school administrators, the principal, and private tutors to find the time, money, and classroom space for tutors to give after-school Italian lessons.
c. Amerigo could work with the Italian teacher, instructional coordinators, and school librarians to organize an area in the library that is filled with books about Italy and Italian literature.
d. Amerigo could work with the state and local government and school district administrators to create a program in which high school students are required to take more than one language class.
Answer:
Amerigo could work with school administrators, the principal, and private tutors to find the time, money, and classroom space for tutors to give after-school Italian lessons.
Explanation:
got 100% on the unit test
Answer:
The correct answer is B) Amerigo could work with school administrators, the principal, and private tutors to find the time, money, and classroom space for tutors to give after-school Italian lessons.
(well should be)
Risk can be thought of as the possibility of incurring??
Answer:
Risk can be thought of as the possibility of incurring a loss.
Explanation:
Loss.
What are the phases of Design Thinking and discuss its importance
Answer:
Design thinking is a non-linear, iterative process that teams use to understand users, challenge assumptions, redefine problems and create innovative solutions to prototype and test. Involving five phases—Empathize, Define, Ideate, Prototype and Test—it is most useful to tackle problems that are ill-defined or unknown.
Explanation:
Answer: Design thinking is a non-linear, iterative process that teams use to understand users, challenge assumptions, redefine problems and create innovative solutions to prototype and test. Involving five phases—Empathize, Define, Ideate, Prototype and Test—it is most useful to tackle problems that are ill-defined or unknown.
Explanation:
You buy a government bond for $128 and sell it for $155 one year later. What was your rate of return (interest rate) measured in percentage terms? Round to two decimal places. Do not enter a % sign.
Mutual funds are more risky than individual stocks. True/False
You earn $44683 at your job and must pay 10% of your income in taxes. What is your disposable income? Round to two decimal places.
You earn $49062 at your job and must pay 14% of your income in taxes. You then decide to save 7% of your disposable income. How much do you have left for consumption spending? Round to two decimal places.
Disposable income would be $40214.70 (44683 - (44683*0.10) = 40214.70). After saving 7% of your disposable income, you would have $33627.66 left for consumption spending (40214.70 * 0.93 = 33627.66).
1. To calculate the rate of return on a government bond, follow these steps:
Step 1: Find the difference in value: $155 - $128 = $27
Step 2: Divide the difference by the initial value: $27 / $128 = 0.2109375
Step 3: Convert to percentage and round to two decimal places: 0.2109375 * 100 = 21.09%
Answer: 21.09
2. False. Mutual funds generally offer diversification and can be less risky than individual stocks, as they invest in a variety of assets.
3. To calculate disposable income, follow these steps:
Step 1: Calculate the taxes owed: $44,683 * 0.10 = $4,468.30
Step 2: Subtract taxes from total income: $44,683 - $4,468.30 = $40,214.70
Answer: $40,214.70
4. To calculate consumption spending, follow these steps:
Step 1: Calculate taxes owed: $49,062 * 0.14 = $6,868.68
Step 2: Subtract taxes from total income to get disposable income: $49,062 - $6,868.68 = $42,193.32
Step 3: Calculate savings: $42,193.32 * 0.07 = $2,953.53
Step 4: Subtract savings from disposable income to get consumption spending: $42,193.32 - $2,953.53 = $39,239.79
Answer: $39,239.79
to learn more about Disposable income click here:
brainly.com/question/7988107
#SPJ11
The semi automatic lathe is 10000$ and the automatic lathe is is 100000 in the case what is the best among three options depending on the part quantity range
When deciding between a semi-automatic and automatic lathe, the best option depends on the part quantity range. If the production volume is low and the parts are relatively simple, then the semi-automatic lathe may be the more cost-effective choice.
The initial investment cost is significantly lower, and it requires less operator training and maintenance.
However, if the production volume is high and the parts are complex, then the automatic lathe may be the better option. It can handle larger volumes and more intricate parts with minimal operator intervention. While the upfront investment cost is much higher, it may be more efficient and cost-effective in the long run.
Ultimately, it is important to consider the specific needs of your production process and weigh the costs and benefits of each option. Consult with industry experts and evaluate the potential return on investment before making a decision.
To determine the best option among the semi-automatic lathe and the automatic lathe based on part quantity range, you need to consider the cost of each machine and their production capabilities. Here's a concise comparison:
1. Semi-automatic lathe ($10,000): This machine is more cost-effective upfront, making it suitable for small-scale manufacturing or producing lower part quantities. However, it might require more manual intervention and may not be as efficient in terms of production time.
2. Automatic lathe ($100,000): This machine is more expensive upfront, but it offers higher production efficiency, as it can produce parts with minimal manual intervention. This makes it suitable for large-scale manufacturing or when higher part quantities are required.
To choose the best option, consider the following factors:
- Production requirements: If you need to produce a high quantity of parts quickly, the automatic lathe may be the better choice.
- Budget constraints: If you have a limited budget, the semi-automatic lathe might be more suitable.
- Return on investment (ROI): Calculate the ROI for both machines based on your production needs and costs, and select the option that offers the best ROI over time.
In conclusion, the best choice depends on your production requirements, budget, and expected ROI. For lower part quantities, the semi-automatic lathe may be more suitable, while the automatic lathe is better for higher part quantities or more significant production demands.
To know more about automatic lathe visit:
https://brainly.com/question/31952995
#SPJ11
Jane owns a confectionary company which has been selling Lollipops since it started operations 10 year ago. However recently, the company has added a second product, Jellybabies. Jane has a modern production facility which relies more on machines and less on workers to produce her products. Jane's Confectionary (JC) has a capacity of 900 machine hours per month. These machines can produce both products. JC uses machine hours as the allocation base for manufacturing overhead. Direct labour is a variable cost where workers are paid $15 per hour. JC has demand for a total of 6,000 batches of lollipops and 8,000 batches of jellybabies per month. This level of demand (along with selling price and costs) is not expected to change anytime soon. Demand for JC's products is made up of many customers that purchase both products from the company. JC's selling price and associated costs per batch of lollipops and jellybabies are as follows: Lollipops Jellybabies Selling price per batch $54.00 $28.50 Costs per batch: Direct materials $5.25 $2.50 Direct Labour ($15/hour) $13.00 $1.50 Fixed manufacturing overhead cost $2.50 $5.00 Variable selling and admin cost $15.00 $3.00 Total Costs per batch $35.75 $12.00 Profit per batch $18.25 $16.50 Number of machine hours required to produce each batch 0.05 hours 0.1 hours Question 30 2 pts Based on a combination of quantitative and qualitative factors, JC has decided to priortise Lollipops over Jellybabies. JC has come across an opportunity to lease a machine for the upcoming month only (i.e., for 1 month only). This machine is a specialised machine that produces Jellybabies only. It can produce up to 1,000 batches of Jellybabies during the month. What is the highest amount that JC would be willing to pay to lease this machine for a month i.e., the amount at which JC will be indifferent between leasing and not leasing the machine? Assume there are no other costs involved in operating the machine other than the cost to lease this machine. Consider quantitative factors only. Show all calculations. Question 31 4 pts Similar to the previous question, JC has decided to prioritise Lollilops over Jellybabies (based on a combination of qualitative and quantitative factors). JC has turned down the opportunity to rent the machine described in the previous question. JC now has another opportunity to lease another machine for the upcoming month (i.e., for 1 month only). This machine is a specialised machine that produces Lollipops only. It can produce up to 5,000 batches of Lollipops during the month. The owner of this machine wants JC to pay $45,000 to lease this machine. Should JC lease this machine for $45,000? Assume there are no other costs involved in operating the machine other than the cost to lease this machine. Explain. Consider quantitative factors only. Show all calculations.
JC would be willing to pay up to $12,000 to lease the specialized machine for Jellybabies production for one month.
JC's highest amount of willingness to pay for leasing the specialized machine can be calculated by considering the contribution margin of Jellybabies and the number of batches the machine can produce. The contribution margin is the selling price minus the variable costs per batch.
For Jellybabies, the contribution margin per batch is $16.50 ($28.50 - $12.00). Since the machine can produce up to 1,000 batches, the total contribution margin from using the machine is $16,500 ($16.50 × 1,000).
However, the machine hours required to produce each batch of Jellybabies is 0.1 hours. Since JC's production capacity is 900 machine hours per month, the machine can only be operated for 90 hours (900 machine hours ÷ 0.1 hours per batch).
To find the highest amount JC is willing to pay, we need to determine the contribution margin per hour of machine operation. It can be calculated by dividing the total contribution margin by the number of machine hours: $16,500 ÷ 90 hours = $183.33 per hour.
Therefore, JC would be willing to pay up to $12,000 ($183.33 per hour × 65 hours, assuming the machine operates for 65 hours in the month) to lease the specialized machine for Jellybabies production.
Learn more about production
brainly.com/question/31859289
#SPJ11
2. Making choices is necessary in all economic systems because:
A. there are so many products that we cannot use them all at once
B. the government has so much money that it does not know what to do with it
C. there are so many resources compared to people’s needs that we have to choose which ones not to use
D. there are so many wants compared to scarce resources that we have to decide what to produce
Explanation:
it is d because we don't have enough resources to sustain forever so we have to figure out how to make them last.
Which of the following are key indicators that control of goods or services has been transferred to the customer? (Select all that apply.)
A) Customer has an obligation to pay
B) Customer has legal title to the asset
C) Customer accepted the risks and rewards of ownership
D) Customer signed a legally enforceable contract
The key indicators that control of goods or services has been transferred to the customer are Customer has an obligation to pay and Customer accepted the risks and rewards of ownership.The correct answer among the given options are A and C.
A) Customer has an obligation to pay: When a customer has an obligation to pay for the goods or services, it indicates that the control has been transferred to them.
This means that the customer is responsible for making the payment, which is a clear indication of their ownership and control over the goods or services.
C) Customer accepted the risks and rewards of ownership: If the customer has accepted the risks and rewards of ownership, it signifies that control has been transferred to them. This means that the customer bears the risks associated with the goods or services, such as loss or damage, and also enjoys the benefits or rewards that come with ownership, such as the right to use or sell the goods.
B) Customer has legal title to the asset: Although legal title to the asset can be an indicator of control transfer, it is not always necessary. Control can be transferred to the customer even if legal title remains with the seller.
For example, in cases of leasing or financing arrangements, the customer may not have legal title to the asset but still have control over its use.
D) Customer signed a legally enforceable contract: While a contract is important for establishing the terms and conditions of the transaction, the mere signing of a contract does not necessarily indicate that control has been transferred.
The transfer of control is determined by the actual performance of the obligations outlined in the contract.
In conclusion, the key indicators that control of goods or services has been transferred to the customer are A) Customer has an obligation to pay and C) Customer accepted the risks and rewards of ownership.
For more such questions goods,click on
https://brainly.com/question/25262030
#SPJ8
At what point does an idea-driven enterprise run into problems and At what point does a market-driven enterprise run into problems?
Idea-driven businesses face unique challenges during growth. ... Their innovation is born from a deep desire to change the way people think about ... to shed light on the different stages of idea-driven business and what problems each stage ...
Idea-driven firms confront particular difficulties as they expand. Their creativity is the result of a strong desire to alter how people think, to shine a light on the many stages of the idea-driven company, and the issues that each level faces.
What is firm?A firm is a for-profit business entity that offers professional services, such as a corporation, limited liability company (LLC), or partnership. Most businesses only have one location. On the other hand, a business company is made up of one or more physical locations that are all owned by the same person and have the same EIN (EIN).
The term "firm," when used in a title, is frequently connected to companies that offer expert legal and accounting services, but it may also refer to a wide range of companies, including consulting, marketing, and graphic design firms, among others.
The name of the company is often used for commercial purposes, but the level of legal protection—for owners or employees—depends on the ownership structure that was used to establish the company. Corporations, for example, offer a higher level of legal protection than other forms of organizations. The idea of a mature company with a strong foundation already exists.
To learn more about the firm follow the link.
https://brainly.com/question/14693807
#SPJ2
If the government levies a $500 tax per car on sellers of cars, then the price received by sellers of cars would:.
adding a complementary product to what is currently being produced is a demand management strategy used when: group of answer choices capacity exceeds demand for a product that has stable demand. efficiency exceeds 100 percent. demand exceeds capacity. the existing product has seasonal or cyclical demand. price increases have failed to bring about demand management.
The correct response is c. the existing product has seasonal or cyclical demand. Seasonal job is a sort of temporary employment where an individual works during specific seasons of the year.
Seasonality is a property of a time series in which the data goes through predictable and recurring changes on a yearly basis. Seasonal refers to any predictable variation or pattern that recurs or repeats over the course of a year. Seasonal employment is temporary work done to fill a company's short-term needs at specific times of the year. Businesses that are only open for a portion of the year, like ski resorts, may fall under this category. Living seasonally entails actively submitting to the constant changes that take place both inside and outside of us. Seasonal life entails accepting those many times without being emotionally invested in any of them and having faith that each phase will eventually return.
Learn more about seasonal here
https://brainly.com/question/16850606
#SPJ4
Which of the following processes does value-based pricing reverse? a. high-low pricing b. everyday low pricing c. cost-based pricing d. good-value pricing e. value-added pricing
Value-based pricing reverses the process of cost-based pricing. (Option C)
Cost-based pricing involves setting prices based on the cost of producing or acquiring a product or service, typically by adding a markup to cover expenses and generate a desired profit margin. In contrast, value-based pricing focuses on determining the perceived value of a product or service to customers and setting prices accordingly.
Value-based pricing takes into account factors such as customer preferences, competitive offerings, and the unique benefits or advantages that a product or service provides. By understanding the value proposition of their offering, companies can set prices that capture a fair share of the perceived value from customers, rather than solely relying on cost considerations.
Value-based pricing allows companies to align their pricing strategy with customer perceptions of value, which can lead to higher profitability and increased customer satisfaction. It shifts the focus from internal cost structures to external market dynamics and customer demand, enabling companies to capture the value they provide and differentiate themselves in the marketplace.
Learn more about cost-based pricing here:
https://brainly.com/question/30175345
#SPJ11
TRUE/FALSE. if a password consists of ten characters, it would take a human about 4.5 years to guess the password if the human makes one try each second.
If a password consists of ten characters, it would take a human approximately four. five years to bet the password if the human makes one strive each 2nd. false.
The human, a culture-bearing primate categorized in the genus Homo, particularly the species H. sapiens. people are anatomically similar and associated with the brilliant apes but are prominent by a more rather evolved brain and a resultant potential for articulate speech and abstract reasoning.
Humans are the maximum ample and giant species of primate, characterized by means of bipedalism and notable cognitive talents due to a massive and complex mind. This has enabled the improvement of advanced gear, subculture, and language. Homo sapiens, the primary contemporary humans, evolved from their early hominid predecessors between 200,000 and 300,000 years in the past. They developed an ability for language approximately 50,000 years ago. the primary contemporary human beings began shifting outdoors in Africa starting approximately 70,000-100,000 years in the past.
Learn more about Humans here:
https://brainly.com/question/26502157
#SPJ4
1. Customer relations is often used interchangeably with the term?
Answer:
There are several terms used to refer to customer service: customer relations, customer care, etc., but the ones that are the most often used interchangeably are customer support and customer service. Many people don’t think about the difference between customer service and customer support.
Explanation:
hope this helps :))
This is for my class in finance
What is one way to minimize the impact of unplanned spending on a budget?
I will mark brainliest !!!
Answer:
1. Work with credit card companies. ...
2. Sell your stuff. ...
3. Earn extra income. ...
4. Take on a short-term money loan. ...
5. Re-budget to live below your means. ...
6. Ask for a paycheck advance. ...
7. Make sure you're prepared for next time.
PLEASE ANSWER THESE IT WOULD BE A HUGE HELP
Each time you sell a stock to make a profit, you must pay tax on the money you make (the
difference between the buying and selling price). This is called capital gains tax. Do you think
capital gains tax is a good idea? Why or why not?
In 2010, the population of a city was 223,000. From 2010 to 2015, the population grew by 5%. From 2015 to 2020, it fell by 3%. How much did the population grow from 2010 to 2015, to the nearest 100 people?.
From 2010 to 2015, the population grew by 5%, which is 11,150 people to the nearest 100 people. Population refers to the number of people living in a specific geographic area, such as a country, state, city, or neighborhood.
Population can also refer to the number of individuals of a particular species living in a specific area. In general, population data is used to understand the demographics and characteristics of a specific area, as well as to make predictions about future population trends and patterns.
From the text we are informed that the population of a city was 223,000 in 2010. From 2010 to 2015, the population grew by 5%. From 2015 to 2020, it fell by 3%.
Hence, to determine the growth of population from 2010 to 2015 is:
223,000 x 0.05 = 11,150
Learn more about population, here https://brainly.com/question/27991860
#SPJ4
Suppose that a neural network model is built to predict the price of a particular stock in the future. The stock prices ranged from $60 to $70 and that the network output was 0.75. Then the predicted stock price is ___________.
A. $60.00 B. $60.75 C. $65.00 D. $67.50 E. $70.00
The neural network output ranges from 0 to 1, we can interpret it as a proportion of the total range. In this case, 0.75 represents 75% of the total range ($10).
How do we calculate the predicted stock price using the neural network output?The predicted stock price based on a neural network output of 0.75, we need to understand the range of values that the output represents.
Given that the stock prices ranged from $60 to $70, we can calculate the range by subtracting the minimum value from the maximum value: $70 - $60 = $10.
Since the neural network output ranges from 0 to 1, we can interpret it as a proportion of the total range. In this case, 0.75 represents 75% of the total range ($10).
To calculate the predicted stock price, we can multiply the proportion by the range and add it to the minimum value. Thus, the predicted stock price would be $60 + (0.75 * $10) = $60 + $7.50 = $67.50.
The correct answer is option D: $67.50.
Learn more about neural network]
brainly.com/question/31956522
#SPJ11
True or false?
The law of diminishing returns states that as more variable inputs are added to production, the productivity of these inputs increases.
Answer:
that would be true
Explanation:
In the Basic 4 Block SWOT (Strengths, Weaknesses, Opportunities, and Threats) which of these is considered to be a weakness? (A) Decreased customer esteem (B) Competitor technology (C) Limited history with manufacturing a particular technology (D) Declining market
In the Basic 4 Block SWOT (Strengths, Weaknesses, Opportunities, and Threats), a) decreased customer esteem is considered to be a weakness.
What is SWOT analysis?SWOT analysis is a planning tool that businesses use to identify their strengths, weaknesses, opportunities, and threats. By examining these elements, companies can determine the most effective approaches to achieve their objectives. SWOT analysis helps businesses to align their goals and strategies with their internal and external environments.
In the Basic 4 Block SWOT, decreased customer esteem is considered to be a weakness. Therefore, option (A) is correct. A weakness is any aspect of a company that hinders its ability to achieve its goals. In this situation, decreased customer esteem could lead to a decline in revenue and an increase in customer attrition.
Learn more about SWOT analysis here: https://brainly.com/question/25066799
#SPJ11