The two ways are, revise future cash flows from the project downward increase discount rate for high risk.
What are the economic risk that comes from foreign investments?For someone like you who invests, investment risk is the degree of uncertainty and/or potential financial loss associated with a decision to make an investment. In other words, you can't be certain if investing your money will result in the profits you want or unexpected losses. Despite the fact that product names and descriptions frequently alter, some examples of high-risk investments include: (also known as cryptos) Mini-bonds (also termed high interest return bonds) (sometimes called high interest return bonds) banking on land.The two ways are, revise future cash flows from the project downward increase discount rate for high risk.Widely, risks can be classified into three types: Business Risk, Non-Business Risk, and Financial Risk
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how was the halftime show yesterday
Who heads each of the branches of federal reserve banks and looks after their functioning?
Answer: The chair of the board, governors of the federal reserve system is the chief of the federal reserve which is the central banking system of the United States.
Answer:
Board of Governors
Explanation:
At what rate per cent per annum will 4000 yield an interest of 410 in 2 years?
Answer:
5%
Explanation:
The applicable formula is A = P( 1 + r) ^ n
where A= amount: P is the principal, r, interest rate, n time
In this case,
A = principal + interest = Rs 410 { Rs 4000 + Rs410}
P= Rs 4000
r= ?
n= 2
r is?
4410 = 4000(1 + r) ^2
(1 + i)^ 2 = 4410/4000
(1 + i)^ 2 = 1.1025
1 + i = √1.1025
1 + i = 1.05
i = 1.05 - 1
i = 0.05
0.05 × 100 = 5%
Who’s the intended audience in news articles
Newspaper readers have typically been more educated, wealthy, and older than non-newspaper audiences.
Who is a research's primary target audience?
The people who read your work are referred to as the "audience." A term paper or thesis, for example, may be produced for a professor or committee of professors. More frequently, a paper is produced for peers in your field, for others who pursue similar academic interests.
Who are the media's intended consumers or target audiences?A group of people who you've identified and wish to appeal to is what we refer to as a social networking target audience. Based on factors like age, occupation, income level, degree of education, geography, or behavior, for example. your target market for social media
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In July, a toy store entered into a written agreement with a local supplier for 500 Halloween costumes at $25 per costume. Under the agreement, the costumes were to be delivered on or before October 1. On August 17, the supplier told the store that it would not under any circumstances be able to supply the costumes. The next day, the store contracted with a company to supply 500 similar Halloween costumes for $30 each for delivery on or before October 5. On September 1, the store filed a complaint against the local supplier for breach of contract. The supplier moves to dismiss the complaint. How should the court rule on this motion
Answer:
B. Deny it, because the supplier repudiated its contractual obligation.
Explanation:
Since in the given situation it is mentioned that On sept 1 the store has filed the complaint for the supplier in order to breach the contract and the supplier dismiss the complaint so here the court rule would deny as the supplier repudiated its contractual obligation towards the contract
So as per the given situation, the option b is correct
And, the same should be considered
There are three options for investing $500. The first earns 7% compounded annually, the second earns 7% compounded quarterly, and the third earns 7% compounded continuously.
(a) Find equations that model the growth of each investment and use a graphing utility to graph each model in the same viewing window over a 20-year period.
(b) Use the graph from part (a) to determine which investment yields the highest return after 20 years. What are the differences in earnings among the three investments?
There are three options for investing $500. The first earns 7% compounded annually, the second earns 7% compounded quarterly.
We are to find equations that model the growth of each investment and use a graphing utility to graph each model in the same viewing window over a 20-year period.
To find the model for the first option: The interest is compounded annually, so n=1. The interest rate is 7%, so r=0.07. The principal is $500, so P=500. Therefore, the model is:A=500(1+0.07/1)^(1*t)A=500(1.07)^tTo find the model for the second option: The interest is compounded quarterly, so n=4. The interest rate is 7%, so r=0.07.
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The table displays price and quantity information for two vehicle models produced by Ford Motor Company, the F-series trucks and Escape SUVs.
2016 2017
Price Quantity Price Quantity
Escape SUVs $24,485 307,069 $24,645 308,296
F-series trucks $44,400 820,799 $47,800 896,764
Round all numerical answers to two decimal places.
a. Calculate the amount contributed by Ford to U.S. real and nominal GDP from the sales of the two models in 2016 and 2017.Nominal GDP 2016:
billion
Nominal GDP 2017:
billion
Real GDP 2016:
billion
Real GDP 2017:
billion
b. Determine the growth rate of nominal GDP (if Ford were the entire economy).
Growth rate of nominal GDP:
%
c. Determine the growth rate of real GDP (if Ford were the entire economy).
Growth rate of real GDP:
%
d. Use the shortcut you learned to convert between real and nominal GDP growth rates to determine the growth rate of prices.
Growth rate of prices:
%
e. The increase in nominal GDP in part a is due to a change in
both quantity and prices.
quantity.
prices.
Answer:
a. The nominal GDP 2016 = $43.96 billion
The real GDP 2016 = $43.96 billion
The nominal GDP 2017 = $50.46 billion
The real GDP 2017 = $47.36 billion
b. The growth rate is of nominal GDP is 14.79%
c. The growth rate is of real GDP is 7.73%
d. The growth rate in prices is 6.55%
e. The increase in nominal GDP in part a is due to a change in both quantity and prices
Explanation:
a. The amount contributed by Ford to U.S. real and nominal GDP from the sales of the two models 2016 and 2017 are given as follows;
The nominal GDP 2016 = $24,485 × 307,069 + $44,400 × 820,799 = $43.96 billion
The real GDP 2016 = The nominal GDP 2016 = $43.96 billion
The nominal GDP 2017 = $24,645 × 308,296 + $47,800 × 896,764 = $50.46 billion
The inflation for Escape = ($24,645 - $24,485)/$24,485× 100 = 0.65%
GDP deflator for Escape = 100 + 0.65 = 100.65
The inflation for F-series = ($47,800 - $44,400)/$44,400× 100 = 7.66%
GDP deflator for F-series = 100 + 7.66 = 107.66
The real GDP 2017 = ($24,645 × 308,296)×100/100.65 + ($47,800 × 896,764)×100/107.66 = $47.36 billion
b. The growth rate is of nominal GDP is ((The nominal GDP 2017 - The nominal GDP 2016)/(The nominal GDP 2016)) × 100
The growth rate is of nominal GDP = (($50.46 billion - $43.96 billion)/$43.96 billion) × 100 = 14.79%
c. The growth rate is of real GDP is ((The real GDP 2017 - The real GDP 2016)/(The real GDP 2016)) × 100
The growth rate is of real GDP = (($47.36 billion - $43.96 billion
)/$43.96 billion) × 100 = 7.73%
d. The growth rate in prices is given as follows;
Price Deflator = (Nominal GDP/(Real GDP))×100
Price Deflator = ($50.46 billion/$47.36 billion)×100 = 106.55
The growth rate of prices = 106.55 - 100 = 6.55%
e. The increase in nominal GDP in part a is due to a change in both quantity and prices
Quantity increased from 307,069 in 2016 to 308,296 in 2017 for Escape SUVs
Quantity increased from 820,799 in 2016 to 896,764 in 2017 for F-series trucks
Price increased from $24,485 in 2016 to $24,645 in 2017 for Escape SUVs.
Price increased from $44,400 in 2016 to $47,800 in 2017 for F-series trucks.
a. The nominal GDP 2016 = $43.96 billion
The real GDP 2016 = $43.96 billion
The nominal GDP 2017 = $50.46 billion
The real GDP 2017 = $47.36 billion
b. The growth rate of nominal GDP is 14.79%
c. The growth rate of real GDP is 7.73%
d. The growth rate in prices is 6.55%
e. The increase in nominal GDP in part a is due to a change in both quantity and prices
How do you calculate the growth rate?
If soil nutrients are adequate for the next season’s productivity expectation;Market volatility impacts the prices of the grown crop.Credit issues cause the inability to secure enough funds to cover full harvest requirements.a. The amount contributed by Ford to U.S. real and nominal GDP from the sales of the two models in 2016 and 2017 are given as follows;
The nominal GDP 2016 = $24,485 × 307,069 + $44,400 × 820,799 = $43.96 billion
The real GDP 2016 = The nominal GDP 2016 = $43.96 billion
The nominal GDP 2017 = $24,645 × 308,296 + $47,800 × 896,764 = $50.46 billion
The inflation for Escape = ($24,645 - $24,485)/$24,485× 100 = 0.65%
GDP deflator for Escape = 100 + 0.65 = 100.65
The inflation for F-series = ($47,800 - $44,400)/$44,400× 100 = 7.66%
GDP deflator for F-series = 100 + 7.66 = 107.66
The real GDP 2017 = ($24,645 × 308,296)×100/100.65 + ($47,800 × 896,764)×100/107.66 = $47.36 billion
b. The growth rate is of nominal GDP is ((The nominal GDP 2017 - The nominal GDP 2016)/(The nominal GDP 2016)) × 100
The growth rate is of nominal GDP = (($50.46 billion - $43.96 billion)/$43.96 billion) × 100 = 14.79%
c. The growth rate is of real GDP is ((The real GDP 2017 - The real GDP 2016)/(The real GDP 2016)) × 100
The growth rate is of real GDP = (($47.36 billion - $43.96 billion
)/$43.96 billion) × 100 = 7.73%
d. The growth rate in prices is given as follows;
Price Deflator = (Nominal GDP/(Real GDP))×100
Price Deflator = ($50.46 billion/$47.36 billion)×100 = 106.55
The growth rate of prices = 106.55 - 100 = 6.55%
e. The increase in nominal GDP in part a is due to a change in both quantity and prices
Quantity increased from 307,069 in 2016 to 308,296 in 2017 for Escape SUVs
Quantity increased from 820,799 in 2016 to 896,764 in 2017 for F-series trucks
Price increased from $24,485 in 2016 to $24,645 in 2017 for Escape SUVs.
Price increased from $44,400 in 2016 to $47,800 in 2017 for F-series trucks.
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Can you guys help me with this thank you.
I’m considering buying 100 stocks for $1.75 a share and an ROI of 8%. What is my expected profit?
Your expected profit would be $14 if you purchase 100 stocks for $1.75 per share with an ROI of 8%
What is the Expected profit on the stock?To calculate your expected profit, you need to take into account the total cost of purchasing the stocks and the expected return on your investment.
Total cost of purchasing 100 stocks at $1.75 per share:
100 stocks x $1.75 per share = $175
Expected return on investment (ROI) of 8%:
$175 x 0.08 = $14
Therefore, your expected profit would be $14 if you purchase 100 stocks for $1.75 per share with an ROI of 8%. However, please keep in mind that this is only an estimate, and actual returns may vary depending on market conditions and other factors.
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Project managers must have many competencies, among them leadership, teamwork and negotiation. Leadership, teamwork, and negotiation are examples of the _________ dimension of the project management process.
Leadership, teamwork, and negotiation are examples of the human dimension of the project management process.
Project management is the process of overseeing and coordinating the efforts of a team to complete a specific project within a defined timeline, budget, and scope. The project management process has three dimensions, namely:
Technical dimension: This dimension includes all of the technical and technological aspects of a project that need to be addressed to achieve the project's goals. It refers to the expertise, processes, and systems necessary for the project's success.
Project dimension: This dimension includes the scope, schedule, budget, and resources required for a project to achieve its goals. This dimension relates to the planning and execution of project tasks to achieve the desired results.
Human dimension: This dimension includes the project manager's competencies, as well as the communication, coordination, teamwork, leadership, and negotiation skills required to direct and guide the project team. The human dimension is important because the success of a project depends on how well the project team can work together to achieve the project's objectives.
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The product of 59,736 and 600 is
A) 29,868,000
B) 34,761,600
C) 35,625,600
D) 35,841,600
Answer:
D) 35,841,600Explanation:
I Hope That's Correct ✓ :)
Billie eilish?Or purge for halloween please help me decide?
Answer:
Explanation:
i feel like dressing as billie would be more comfortable you know what i mean just big hoodie/t-shirt and sweat pants
The bond has a coupon rate of 5.57 percent, it makes semiannual payments, and there are 5 months to the next coupon payment. The bond has a clean price of $923 and the par value is $1,000. What is the invoice price?
If the bond has a clean price of $923 and the par value is $1,000. is the invoice price is $946.21.
How to find then invoice price?First step is to find the accrued interest
Accrued interest = ($1,000 × 5.57%) × 5/6
Accrued interest= $55.7/2 x5/6
Accrued interest= $23.21
Now let find the dirty price using this formula
Dirty price = clean price + accrued interest
dirty price = $923+ $23.21
dirty price = $946.21
Therefore the invoice price is the amount of $946.21.
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Easy!! 30 points!!
Two countries produce coal and iron. Country A can produce a maximum of
500 tons of coal per day or 250 tons of iron. Country B can produce a
maximum of 900 tons of coal per day or 300 tons of iron. Which statement
best describes this situation?
A. Country A has an absolute advantage producing coal.
B. Country B has a comparative advantage producing iron.
C. Country A has an absolute advantage producing iron.
D. Country B has a comparative advantage producing coal.
Answer:
Country B has a comparative advantage producing coal.
Explanation:
I believe this is correct, if not let me know and I will fix it. I'm sorry in advance if it is incorrect.
In the situation as given above, the country B has an added comparative advantage of producing coal.
What is a comparative advantage?An advantage that an individual or a group has over the other in terms of its capacities and capabilities, generally measured in quantitative terms, is known as a comparative advantage.
Here, Country B produces 300 tons of coal as against 250 tons of coal produced by Country A, and thus it holds a comparative advantage over the Country A.
Hence, option D holds true regarding the comparative advantage of country B over country A.
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The primary difference between a life estate and a fee simple absolute estate is that life estates...
a. automatically terminate upon the death of a named person b. are descendible c. are devisable d. are not subject to corporate tax
The primary difference between a life estate and a fee-simple absolute estate is that life estates are only valid for the lifetime of a named person, while fee simple absolute estates have no such restriction. So, the correct answer is option a.
This means that the ownership of a life estate property will automatically terminate upon the death of the named person, while a fee simple absolute estate can be passed down to heirs or sold without restriction.
Additionally, life estates are often less valuable than fee simple absolute estates, since they only grant ownership for a limited time period. However, they can still be useful in certain situations, such as allowing a person to live in a property for the rest of their life while still giving ownership to someone else.
In terms of legal and financial implications, life estates are usually devisable (meaning they can be passed down in a will) and descendible (meaning they can be inherited by relatives). They are also subject to corporate tax if the property is owned by a corporation. However, these specifics can vary depending on the state and individual circumstances, so it is always important to consult with a legal expert when dealing with property ownership.
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For the majority of millennials, the cost of paying off their student loans has wound up holding them back from living on their own, making major purchases like buying home and even being able to start a family…
Trade schools cost a fraction of what public and private schools cost. The average cost of vocational school comes out to around $33,000 – for the entire education. This the average cost of a single year of college.
–"The Financial Case for Trade School Over College," Mel Bondar, US News
According to the text, why is trade school more economical for some students? Select two that apply.
a). The cost of attending trade school is cheaper than the cost of a 4 year college.
b). Trade school graduates make more money than college graduates.
c). The cost of attending a 4 year college is offset by higher earnings in the long run.
d). Students who chose trade school over college often make better financial decisions.
e). Students who graduate from trade school have less debt than college graduates.
Answer:
A) The cost of attending trade school is cheaper than the cost of a 4 year college.
E). Students who graduate from trade school have less debt than college graduates.
Explanation: I just took the test on a virtual course and got it right. Hope this helps :)
Trade school more affordable for some students cost, according to the text A trade school is less expensive to attend than a four-year university. Thus option (a, e) is correct.
What is the cost?A cost is the amount of money that has been spent to produce something or provide a service and is thus no longer accessible for use. In business, the cost could be one of acquisition, in which case the money spent to obtain it is recognized as cost. In this situation, money is the input that is used to purchase the item.
If you set a goal of 5 jars of mayonnaise and only have 2 on hand, you know you need to order 3 more. Private expenses are the costs borne by the buyer of a commodity or service. This is also known as the costs associated with the firm's production function. External costs (also known as externalities) are the costs borne by people other than the buyer.
Therefore, Thus option (a, e) is correct.
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When making decisions, managers often must decide between doing what is beneficial for the firm in the short term, and what is beneficial for both the firm and society in the long term. To address this conflict, a firm must
When making decisions, managers are often faced with a conflict between what is beneficial for the firm in the short-term and what is beneficial for both the firm and society in the long-term.
This conflict arises because the actions that benefit the firm in the short-term may not necessarily align with the interests of society as a whole, which can lead to negative consequences for both the company and society in the long-term.
To address this conflict, a firm must adopt a long-term orientation and consider the broader social and environmental impacts of its decisions. This means looking beyond immediate financial gains and recognizing that actions taken today can have far-reaching implications for the company's reputation, customer loyalty, employee morale, and overall sustainability.
Firms that prioritize social responsibility and sustainable business practices are more likely to build strong relationships with stakeholders, including customers, employees, investors, and regulators. They are also better equipped to weather economic downturns and other disruptions, as they have diversified their risk and invested in building resilient supply chains and communities.
Ultimately, the key to addressing the conflict between short-term gains and long-term benefits is a commitment to corporate social responsibility (CSR) and sustainable business practices. By prioritizing the needs of society and the environment alongside those of shareholders, firms can create value for all stakeholders over the long-term, ensuring their continued success and impact.
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Which industry is the second-largest employer of teens
and young people?
What percentage of employed teens are employed by
the government?
I got it
is retail trade
and 7%
Answer:
I. Retail industry
ii. 7%
Explanation:
Retail industry is the second largest employers of teen and young people next to health sector which is the largest employer.
Retailing involves buying goods either from the producers or wholesaler and selling them to the final consumers. Some services are also offered in these retailing such as call center representative, those who work in innovation lab. etc
In the United States, about 7% of teens and young people are in the employment of government , while retail industry is the largest employer of teen and young people because it provides flexibility and also do not involve much academic qualifications.
Example of these retail jobs are those who work in call center, sales representatives and those who works in stores.
Answer:
Retail Trade
7%
Explanation:
Edge 2020
A tax that takes a higher percentage of income from people with lower
incomes is a
A. progressive tax
B. deductive tax
C. dependent tax
D. regressive tax
A regressive tax is a tax that takes a higher percentage of income from people with lower incomes. Hence, option D is correct.
What is regressive tax?When the overall tax burden drops as income increases, the tax is said to be regressive. While middle- and high-income taxpayers suffer a proportionally smaller part of the tax burden, low-income taxpayers bear a disproportionately large share.
Every taxpayer, regardless of economic level, pays the same amount of money, a regressive tax may initially seem to be a fair method of taxing residents. A closer analysis reveals that such a tax results in lower-income persons paying a bigger percentage of their income than do wealthy ones.
Thus, option D is correct.
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John and Amy purchased a builder's home warranty when they bought their home. They have found structural damage that could be a detriment to their home. On average, how many years does a home warranty cover structural damage?
John and Amy purchased a builder's home warranty when they bought their home. They have found structural damage that could be a detriment to their home. On average, 10 years warranty cover structural damage.
What is structural damage?Structural damage is any damage that affect a building structure r home. It could be during construction or after building might have been constructed.
This includes damage to walls, roof and foundation of the house. When structural damage occurs, the level of damage can vary some may be so serious that the building may not be used again.
The 10-year insurance covers damage of structures and buildings.
Therefore,
John and Amy purchased a builder's home warranty when they bought their home. They have found structural damage that could be a detriment to their home. On average, 10 years warranty cover structural damage.
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WILL BE MARKED BRAILIEST!!
3.A company sees that sales of its speakers have decreased over the past
120 days. Its most likely option is to first
design a market research plan
visit some stores selling the product
stop production of the product
lower prices and see what happens
Answer:
They company goes out of business?
Explanation:
This is for The Blue Spider Project for Project Management case
studies. Did Gary understand production operations?
Gary's lack of understanding of production operations was a major setback for The Blue Spider Project. It is imperative that project managers possess knowledge and skills related to production operations to successfully manage such projects.
In The Blue Spider Project for Project Management case studies, Gary was found to be lacking an understanding of production operations. Let us discuss Gary's situation with regards to production operations and his role in The Blue Spider Project.
Gary was a project manager in The Blue Spider Project, responsible for managing the project and overseeing its completion. The project was aimed at creating a new software program for the company. The project was to be completed within the given time frame and budget.
However, Gary failed to understand production operations, which led to a major delay in the project completion. He didn't have the right knowledge, skills and experience required to handle such complex projects. As a result, he failed to provide the right resources and support to the project team.
Moreover, Gary's lack of knowledge about production operations led to his inability to identify and address the issues and challenges faced by the team. This resulted in a major setback for the project. The project had to be delayed and additional resources were required to complete it.
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You need to write a check for $167.50 from your checking account, which has a balance of $1,725.25. What percent of your balance will remain?
The percent of your balance will remain in the checking account is 90.26%
To find out what percent of your balance will remain, you'll need to first subtract the amount of the check ($167.50) from your account balance ($1,725.25) to get the new balance after writing the check.
$1,725.25 - $167.50 = $1,557.75
Now that you know your new balance, you can find out what percent of your original balance remains by dividing the new balance by the original balance and then multiplying by 100 to get the percentage.
($1,557.75 ÷ $1,725.25) x 100% = 90.26%
So, after writing the check for $167.50, 90.26% of your original balance will remain in your account. This means that $1,557.75 is 90.26% of $1,725.25.
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on november 1, alan company signed a 120-day, 12% note payable, with a face value of $19,800. what is the adjusting entry for the accrued interest at december 31 on the note? (use 360 days a year.) multiple choice debit interest expense, $396; credit interest payable, $396. debit interest payable, $792; credit interest expense, $792. debit interest payable, $528; credit interest expense, $528. no adjusting entry is required. debit interest expense, $264; credit interest payable, $264.
Receivable Note Debit Accrued Interest -$402.6
-$402.6 in Credit Interest Income
What is adjusting entry?Adjusting entries are modifications to previously written entries in your diary. They specifically ensure that the data you have recorded corresponds to the proper accounting periods.There are five categories for adjustments entries: Unearned revenue, expenses that have already been incurred, prepaid expenses, and depreciationCreation of the adjustment item on the note for Alan Company for the accrued interest as of December 31
Interest earned through December 31 will be as follows:
30 + 31 = 61 days
= (19,800 x 12% x 61 days) / 360 days
=$144936 ÷ 360 days
=$402.6
As a result, the adjusting entry for Alan Company will be:
Receivable Note Accrued Interest Debit: $402.6.
-$402.6 in Credit Interest Income .
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The difference between nominal and real variables is that:a) Real variables have been adjusted for inflation.b) Real variables include opportunity cost.c) Nominal variables do not account for changes in the business cycle.d) Real variables are measured after taxes have been deducted.
The difference between nominal and real variables is that option a) Real variables have been adjusted for inflation
Nominal variables are often used to compare current prices and values to past prices and values. However, they do not account for changes in purchasing power due to inflation.
On the other hand, real variables are adjusted for inflation to account for changes in the price level over time. Real variables are expressed in terms of constant dollars, which means that they are adjusted for changes in the value of money.
One way to convert nominal variables into real variables is by using an inflation rate or price index.
The inflation rate measures the percentage increase in the price level over a specific period, while the price index measures the overall level of prices in the economy.
By using an inflation rate or price index, we can adjust nominal values to their real values and compare them accurately over time.
Hence the correct option is (a).
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On Friday, April 28, 2022, Emirates National Oil Company's board of directors declare a dividend of AD 1 per share payable on Thursday May 12, 2022, to shareholders of record as of Thursday May 5, 2022. When is the ex-dividend date? If a shareholder buys stock before that date, who gets the dividends on those shares, the buyer or the seller?
On Friday, April 28, 2022, Emirates National Oil Company's board of directors declare a dividend of AD 1 per share payable on Thursday May 12, 2022, to shareholders of record as of Thursday May 5, 2022.
To determine the ex-dividend date, the dividend is declared on Friday, April 28, 2022, and the payment date is set for Thursday, May 12, 2022. The shareholders of record are determined as of Thursday, May 5, 2022.
Typically, the ex-dividend date is set a few days before the record date. It is the date on or after which a buyer of the stock will not be entitled to receive the upcoming dividend payment.
If a shareholder sells their shares before the ex-dividend date, they retain the right to receive the dividend. The buyer in this case, will not receive the dividend because they acquired the shares after the ex-dividend date.
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Coca-cola acquired Culiangwang Beverages Holding Ltd, a multigrain multi-grain beverage company, in 2016 and launched a new line of healthy beverages to attract new customers. Starbucks was pursuing a strategy. market penetration produce development diversification product penetration market development
Coca-Cola's acquisition of Culiangwang Beverages Holding Ltd and the subsequent launch of a new line of healthy beverages indicates a strategy of product development. This strategy aims to attract new customers by introducing new products or product variations into existing markets.
Product development is a strategy that involves creating and introducing new products or modifying existing products to meet the needs and preferences of target customers. By acquiring Culiangwang Beverages Holding Ltd, Coca-Cola expanded its product portfolio and ventured into the multigrain beverage market. This move allowed Coca-Cola to tap into a different segment of consumers who were looking for healthier beverage options.
The launch of a new line of healthy beverages further exemplifies the product development strategy. Coca-Cola recognized the growing consumer demand for healthier choices and responded by introducing beverages that align with this trend. By diversifying its product offerings, Coca-Cola aimed to attract new customers and retain existing ones who were seeking healthier alternatives.
Overall, through the acquisition and the subsequent launch of a new product line, Coca-Cola employed a product development strategy to expand its market reach and cater to evolving consumer preferences for healthier beverages.
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explain advertisement
Answer: Advertisement is a marketing communication. It is used to promote businesses and their products. Used to promote more effectiveness in a businesses profit and their sales. May be seen in the form of commercials or billboard announcements in everyday life.
It costs $2,500 to send an employee to a three-day seminar. The information obtained at this seminar should allow the employee to increase their sales success rate by 1%. The employee has a success rate of 3% of converting a call into a sale. The employee makes five calls per day Mon through Fri for 50 weeks per year. If each sale is $2,000, what would be the increase in sales dollars be by attending this seminar?
Answer:
$25,000
Explanation:
success rate without attending the seminar = 3% x 5 calls per day x 5 days per week x 50 weeks per year x $2,000 sale = $75,000
success rate after attending the seminar = 4% x 5 calls per day x 5 days per week x 50 weeks per year x $2,000 sale = $100,000
the increase in sales dollars due to the increase in productivity (after attending seminar) = $100,000 - $75,000 = $25,000
HURRY I NEED HELP!!!
Does globalization (or global trade) provide an opportunity to the world (positive), or does it take advantage of local individuals and cultures (negative)? Explain in a CREW format.
Interviewer: I am here on a very crowded Wall Street with protesters chanting all around me…
Group of Protesters: People before profits! People before profits! People before profits!
Interviewer: Many of these folks are against the growth of global free trade. They believe free trade is to blame for increases in poverty, income inequality (lots of rich and lots of poor), and environmental damage in recent decades. They claim that the elimination of tariffs and other barriers to trade have simply allowed large, multinational corporations to move into and exploit (take advantage of) developing nations, while hurting many U.S. workers and families, too.
Protester 1 (wearing a “No More Sweatshops” T-shirt): The extreme expansion of capitalism and free trade has allowed large, multinational companies to exploit developing countries, and especially their poorest citizens who are often forced to work for less than $1.00 day. Many of the factories set up by these big companies are sweatshops– dirty, dangerous, and the pay is awful. We are here protesting for a ‘living wage’ for all foreign employees of U.S. corporations.
Union representative: I’m tired of these large, unfeeling corporations sending our good paying manufacturing jobs overseas to some factory where workers make $1.50 an hour, instead of letting Americans have those jobs…That’s what’s happening in the textile industry, the steel industry, and the auto industry, too. These are industries that built America and now our jobs are going to China or Mexico...
Interviewer: The other side of this global debate–you might call them free-trade advocates– argues that opening up markets and international borders to free trade has had all kinds of benefits for developing nations, as well as the United States and other industrialized nations. They cite data showing increased life expectancy, increased literacy (ability to read and write), more political freedom, and a reduction in the proportion of people living on less than $1.00 per day in the developing nations.
Manager: Evidence shows that the number of people living on $1.00 per day or less has decreased by 50% in the last 20 years, which was a period of rapid world economic growth, largely because of international trade. And the percentage of people who are malnourished (Starving) has dropped from 56% in the 1960s to only 10% today. Again, during a period of global economic growth, fueled by trade. Look, our corporation has a factory in Vietnam. Last year our factory there paid 2 times the local wage. That was a big step up for those workers, and it made sense for us, too, because it meant we could get the most productive local workers.
Shopper: Let’s also look at all of the different product choices we have. I can go into the grocery store and find different types of food from all over the world. We are limited in what we can produce and grow here in America, so having global trade gives us so many more options.
C- Claim (Globalization provides an opportunity to people throughout the world [or] Globalization takes advantage of local individuals and cultures around the world.)
R- Reason (It provides the opportunity because… [Or] It takes advantage of others because…)
E- Evidence (insert a quote from the reading to prove your positive or negative side)
W- Warrant (This quote shows how globalization is positive/negative because… We should/shouldn’t continue to trade with other countries of the world because...)
Answer:
In general, globalization has been shown to increase the standard of living in developing countries, but some analysts warn that globalization can have a negative effect on local or emerging economies and individual workers. Globalization is not new.
Explain the required steps to complete a work sheet by placing the following steps in the correct order. (Put the first step at the top.)
Instructions
Choice 1 of 5. Total financial statement columns, compute income or loss and balance columns. toggle button Total financial statement columns, compute income or loss and balance columns.
Choice 2 of 5. Enter unadjusted trial balance. toggle button Enter unadjusted trial balance.
Choice 3 of 5. Sort adjusted trial balance amounts to financial statements. toggle button Sort adjusted trial balance amounts to financial statements.
Choice 4 of 5. Enter adjustments. toggle button Enter adjustments.
Choice 5 of 5. Prepare adjusted trial balance. toggle button Prepare adjusted trial balance.
Answer:
Explanation:
This is the correct answer
The correct set of arrangements in preparation of trial balances is as follows -
Entering unadjusted trial balances
Enter adjustments to the trial balance
Prepare adjusted trial balance
Sort adjusted trial balances amounts to financial statements.
Total financial statement columns, compute income or loss and balance columns.
So, the correct order of preparation of trial balances is B-D-E-C-A.
Preparation of Trial Balance Trial balance is an unadjusted table that shows the balances from all the ledger accounts of the organization during a financial period.A trial balance is such table which is used for the preparation of P&L account, trading accounts and balance sheet for the firm as on the financial year-end date. Firstly, all the ledger account balances are noted down in the trial balance following the entering of adjustments of financial events that took place during the year and were unrecorded. After such adjustments are made, an adjusted trial balance is prepared, which is followed by sorting such trial balances into different accounts like trading account and profit and loss account. A balance sheet is prepared which includes the assets, equities and liabilities of the organization where the total assets are equal to the amount of equities and liabilities of such organization. In this way, an unadjusted and unrecorded incomplete trial balance is used for the preparation of financial statements of the organization as on the end of the financial period.Hence, the correct order of preparation of trial balance is as B-D-E-C-A.
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