Copy thrust refers to how much the audience believes what the advertiser says.
What does the term "copy thrust" mean?Copy thrust is a technique used in aerobatics and airshow demonstrations where the pilot of one aircraft follows the maneuvers of another aircraft, usually in close formation, as accurately as possible. The lead aircraft's maneuvers are copied in a mirror image fashion, with the other pilot trying to keep the same level of precision. This technique is often used in airshow performances to create impressive displays of synchronized flying that leave audiences in awe. It requires a great level of skill and concentration from the pilot, as well as strong communication between the two aircraft to ensure that each maneuver is performed correctly. Copy thrust is often used in military training scenarios as well, where pilots must train to fly in close formation with other aircraft without colliding. This technique has become popular in recent years as a way to show off a pilot’s skill and ability to fly in tight formation without issue.To learn more about advertiser refer to:
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If we want to gauge how much the income tax system distorts incentives, we should use the.
The marginal tax rate should be used to determine how much the income tax system distorts incentives.
What effect does the income tax rate have on the motivation to work?Workers' motivation to work often decreases when their wages grow but their after-tax income does not, either as a result of higher income and payroll taxes or declining benefits from government programs.
Are incentives affected by taxes?Taxes can alter both supply and demand aspects by influencing incentives. People may work more if marginal tax rates on wages and salaries are reduced, for instance. Increasing the earned income tax credit may increase the number of low-skilled workers who are employed.
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Geraldo reviews his brokerage statement and sees the following two mutual fund investments that he made a year ago. ActiveFund20 had an average return (before fees) of 7% per year and an annual fee of 1%. PassiveFund500 had an average return (before fees) of 6. 5% per year and an annual fee of 0. 1%. Which investment had a better return for Geraldo (after fees)
According to Geraldo's brokerage statement, he made two mutual fund investments a year ago, Passive Fund 500 had a better return for Geraldo after fees compared to Active Fund 20.
According to Geraldo's brokerage statement, he made two mutual fund investments a year ago: Active Fund 20 and Passive Fund 500.
Active Fund 20 had an average return of 7% per year before fees and an annual fee of 1%. Passive Fund 500, on the other hand, had an average return of 6.5% per year before fees and an annual fee of 0.1%.
To determine which investment had a better return for Geraldo after fees, we need to take into account the impact of fees on the returns.
For Active Fund 20, the fee of 1% would reduce the average return of 7% by 1%, resulting in an actual return of 6% after fees.
For Passive Fund 500, the fee of 0.1% would reduce the average return of 6.5% by 0.1%, resulting in an actual return of 6.4% after fees.
Comparing the actual returns after fees, we can see that PassiveFund500 had a better return of 6.4% compared to Active Fund 20's return of 6%.
In conclusion, Passive Fund 500 had a better return for Geraldo after fees compared to Active Fund 20.
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one benefit of a large sample that exceeds the minimum power analysis size is that it...
One benefit of a large sample that exceeds the minimum power analysis size is that it increases the power of the study.
To understand this benefit in more detail, let's consider the formula for power analysis. Power is calculated as:
Power = 1 - β
where β is the probability of a type II error, which is the probability of failing to reject a false null hypothesis. In other words, β represents the probability of missing a true effect.
The value of β is determined by several factors, including the sample size, effect size, alpha level (the probability of a type I error, which is the probability of rejecting a true null hypothesis), and the statistical power of the test.
As sample size increases, the value of β decreases, which means that the power of the study increases. This occurs because a larger sample size provides more information about the population, making it easier to detect a true effect.
Therefore, it means that the study is more likely to detect a true effect if one exists, which increases the overall confidence in the study's findings.
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1. Define Trade, Import and Export
2. List items the U.S. imports and exports.
Answer:
food and clothing
Explanation:
import is to bring things from a different country for sale. export is to give things to a different country or place for sale. trade is to transfer or exchange something from a different country.
who ever can give me five stars and like me i will do the same back
Answer:
I will give you 5 stars like me i will do the same back
When forecasting demand for new products, sometimes firms will use demand data from similar existing products to help forecast demand for the new product. What technique is this an example of?.
When forecasting demand for new products, sometimes firms will use demand data from similar existing products to help forecast demand for the new product. This is an example of Historical Analogy.
An historical analogy describes the processes used to steer a judgmental forecast and is helpful in building an understanding of history. When constructing scenarios to forecast the future, analogous elements are useful. A pattern to predict the future sales of a certain product can be developed by comparing a product with its alternatives.
It involves comparing a product's past success to its current performance and utilizing that data to predict how well a similar product will perform in the future. It refers to situations and events in addition to comparing various products.
An illustration of a historical similarity is the evaluation of a huge number of immigrants who arrived in the Levant and eventually came to control the local administrations, paving the path for the marginalization of the native populations. The end result was that the people suffered and were forced to relocate to less prosperous locations. Similar events occurred simultaneously in South Africa and the northern United States.
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in the market for bank credit, a large bank sometimes announces a change in interest rates. after the changes in interest rates are announced, other banks in the industry usually react by changing their rates in the same way. this is an example of:
After the changes in interest rates are announced, other banks in the industry usually react by changing their rates in the same way. This is an example of Implicit collusion.
What is Implicit collusion?
Acts taken by rival businesses usually oligopolistic ones in a market that is intended to be controlled, priced higher, and generally behave like a monopoly that appear to be independent but are actually taking place simultaneously. The defining characteristic of implicit collusion, also known as tacit collusion, is the absence of any express agreement. One of two varieties of collusion exists here.
When two or more businesses work together to monopolise a market without making a formal or explicit agreement, this is known as implicit collusion.
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Which step is the most important step in the decision making process?.
Answer:
The most important step of the decision-making process is: Assessing the possible uncertainties in the future course of action. It is a must for any of the firms to assess or evaluate the possible risks or the uncertainties associated with the firm operation and functioning.
THIS IS URGENT- How did Jeff bezos change the economy when he created Amazon (I need when he first created it up to now!)
Jeff Bezos when he created Amazon had a tremendous impact in the economy as he created jobs more than any other company had created before and also helped in achieving price stability.
What is Amazon?
Digital streaming, cloud computing, online advertising, and artificial intelligence are the main areas of interest for the American multinational technology business Amazon.com. One of the most valuable brands in the world, it has been called "one of the most significant economic and cultural forces in the globe." Along with Alphabet, Apple, Microsoft, and Meta, it is one of the Big Five American technological firms. On July 5, 1994, Jeff Bezos launched Amazon from his garage in Bellevue, Washington. It began as an online book store but has since grown to include many more product categories.
Hence, Amazon contributed to the economy in terms of sales, price stability and creation of jobs and also providing a alternate option for marketplace in a economy.
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which of the following statements about private goods and public goods is correct? group of answer choices private goods and public goods are both excludable. private goods and public goods are both rival in consumption. private goods are not excludable and public goods are excludable. private goods are rival in consumption and public goods are not excludable.
The correct statement is that private goods are both excludable and rival in consumption, while public goods are not excludable but are rival in consumption.
Excludable goods are those for which it is possible to prevent people who have not paid for the good from accessing it.
Private goods, such as food or clothing, can be easily excluded from those who have not paid for them. In contrast, public goods, such as national defense or clean air, cannot be easily excluded from anyone who benefits from them. Consumption rivalry refers to the fact that when one person consumes a good, it reduces the amount available for others. Private goods are rival in consumption because when one person consumes a good, it is no longer available for others to consume. Public goods are rival in consumption because when one person benefits from them, it does not diminish the benefits available to others.
The correct statement about private goods and public goods is: "Private goods are rival in consumption and public goods are not excludable."
Private goods are both excludable and rival in consumption, meaning only those who pay can access them, and one person's consumption reduces availability for others. Public goods, on the other hand, are non-excludable and non-rival in consumption, meaning they are accessible to everyone and one person's consumption does not reduce availability for others.
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Disadvantages of choosing a job that is extremely popular or in demand
The disadvantage of choosing a job that is very popular or a job that is in high demand is that after a while such a job may become saturated or it would become monotonous.
What is a high demand job?This is the term that is used to refer to a job that the people that wpould employ labor are constantly in need of. Such a job is one that would require the people that have the qualification to opt in and get the places and the roles that they are to fill.
The issues that may arise from such a job that is in high demand is that after a period, such a job may have a lot of persons that would want to fulfil the role.
The number of qualified persons may become more than the job that is available for the people to do in the long run.
Hence this is a disadvantage. Therefore I would conclude by saying that the disadvantage of choosing a highly popular job is that the number of persons that are willing to fulfil the role may exceed the job overtime.
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Which of the following situations would be the most appropriate to use a slide presentation?
A. A new employee is asked to introduce himself to the company with a five minute talk about his background.
B. You and your design team are asked to draft a report for the board of directors on areas where the business is weak.
C. Ben has to present his findings on sales revenue to his management team.
D. Nandira, your new boss, asks you for a 10 minute meeting to give her an update on a project.
The repair service that fixes your farming equipment doesn’t seem to fix your plow correctly. The technician says that if you are not happy, you can buy a new plow from him, but the cost is extremely high. Do you have other options available to you for higher-quality repairs or cheaper equipment? Explain your answer.
Answer:
Your best option would be for higher quality repairs and higher quality equipment, this would save you more money and time in the long run where you have the ability to do other things.
Explanation:
Mark as Brainliest please!
Ill give u a cookie
Answer:
No, because in command economies, there is no competition. So, there are no other repair services that would offer higher-quality repairs or cheaper equipment. Additionally, no incentive exists for the technician to provide high-quality service.
Explanation:
the actual answer
What program would be likely to help a person prepare for teacher certification?
O a master's degree in Psychology
O a bachelor's degree in Education
O a one-year technical school certificate
O an associate degree from a community college
Answer: The answer is a bachelor’s degree in Education.
Explanation:
To help a person prepare for teacher certification is likely program is a bachelor's degree in Education.
A Bachelor of Education (B. Ed.) is a professional undergraduate degree that qualifies graduates to work as teachers in educational institutions.
In other nations, like Tanzania and Kenya, the student must do additional activities like fieldwork and research in order to be completely qualified to teach.
Tests for the licenses or certificates necessary for instructors in some places may also be administered concurrently with or after it.
Therefore, the correct option is "a bachelor's degree in Education".
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True or False- One of the Federal Reserves responsibilities is to: Foster payment and settlement system safety and efficiency
True.
One of the responsibilities of the Federal Reserve is to foster payment and settlement system safety and efficiency. The Federal Reserve plays a crucial role in overseeing and ensuring the smooth functioning of the payment and settlement systems in the United States, which includes promoting safety, efficiency, and accessibility in financial transactions.
"
Cash Flow Statement
Question 7 (1 point) Choose the answer that best completes the statement below. When analyzing a cash flow statement, it is generally always best if an organization can produce most of its cash flow f
"
When analyzing a cash flow statement, it is generally always best if an organization can produce most of its cash flow from its operating activities.What is a cash flow statement.
A cash flow statement is a financial report that displays the inflow and outflow of cash in an organization for a specific period. A cash flow statement is used by a business or organization to identify how much money is flowing in and out such as sales of goods or services.
Investment activities refer to the acquisition and sale of long-term assets, such as plant and equipment. These are cash flows resulting from an entity's capital investment decisions. Financing activities include long-term borrowing, share buybacks, and payment of dividends. through debt or equity.
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The pre-approved amount of money that a bank is willing to lend a credit card holder is the credit __________. A. Balance B. Rating C. History D. Limit
Answer:
Limit
Explanation:
Answer:
D. Limit
Explanation:
The bureaucratic structure that arranges employees by multiple factors such as region, products, or clients is known as the ______ structure.
Bureaucratic structure is a structure that has a lot of formalized set of role expectations. The bureaucratic structure that arranges employees by multiple factors such as region, products, or clients is known as the multi-divisional structure.
Bureaucratic structure along with its different roles shows who is expected to do what, how, and when.This structure is said to be a normative in nature that is often disconnected from decision behavior or process.
The structure often shows the different facets of a mechanistic organization when looking at work specialization, formalization, and centralization.
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Type the correct answer in the box. Spell all words correctly.
Which good customer service skill does Tony seem to possess?
Tony works as a customer service professional for a store that sells refrigerators. He met a customer who was furious with the store's service.
Apparently, the store had delivered the wrong refrigerator model to the customer's home address. Tony apologized on behalf of the store. He
told the customer that the store would quickly replace the product. He Interacted with the customer for a while and promised that the store
would never give the customer a chance to complain in the future. Tony's ________
helped him make the customer believe
In the store's service.
Answer:
professional manner and reassurance
jamal company began the year with $126,000 in its common stock account and a debit balance in retained earnings of $54,000. during the year, the company earned net income of $27,000 and declared and paid $9,000 of dividends. in addition, the company sold additional common stock amounting to $33,000. based on this information, what should the transaction analysis show for the ending total of all owners' equity accounts?
The correct option is A. The transaction analysis show for the ending total of all owners' equity accounts is $231,000.
Ending total of all stockholder's equity accounts = beginning balances + net income - dividend + additional common stock
= 126000 + 54000 + 27000 - 9000 + 33000
= $231,000
Earnings are the consumption and saving possibility received by way of an entity within a detailed timeframe, which is commonly expressed in economic terms. Earnings are difficult to outline conceptually and the definition can be extraordinary for the duration of fields. for instance, a person's income in a financial experience may be unique from their income as described with the resource of the regulation.
A very essential definition of income is Haig–Simons earnings, which defines earnings as intake + trade-in internet truly worth and is widely applied in economics. For households and individuals within America, income is defined with the useful resource of tax law as a sum that consists of any earnings, earnings, profit, interest rate, rent, or some other shape of earnings acquired in a calendar year. Discretionary earnings are frequently described as gross profits minus taxes and special deductions (e.g., compulsory pension contributions), and are broadly used as a basis to take a look at the welfare of taxpayers.
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Complete Question:
Jamal company began the year with $126,000 in its common stock account and a debit balance in retained earnings of $54,000. during the year, the company earned a net income of $27,000 and declared and paid $9,000 in dividends. in addition, the company sold additional common stock amounting to $33,000. based on this information, what should the transaction analysis show for the ending total of all owners' equity accounts?
A). $231,000
B). $165,000
C). $123,000
D). $249,000
Jory wants to create a diagram to compare and contrast the qualifications of the three Energy pathways. Which qualifications could she put in the section common to all three pathways?
physical stamina, willingness to work long hours, teamwork, stress-management skills
physical stamina, color vision, stress-management skills, knowledge of geography
color vision, willingness to work long hours, teamwork, customer-service skills
knowledge of geography, customer-service skills, teamwork, stress-management skills
Answer:
th answer is A. physical stamina, willingness to work long hours, teamwork, stress-management skills
Explanation:
The qualifications that are required to create a diagram to compare and contrast the three Energy pathways are the physical stamina, willingness to work long hours, teamwork, stress-management skills.
What are the Energy pathways?The paths that energy sources take to get from a producer to a consumer are known as energy pathways. These ways are an influential part of energy security, yet they can be disrupted.
In the given case, Physical stamina, desire to work long hours, collaboration, and stress-management skills are all requirements for creating a graphic to compare and contrast the three Energy paths.
Therefore, option A is correct.
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Is wanting to increase sales over the next year a good objective if (no/yes) write why
Answer:
Yes because some family's are not doing very good in money so they should be able to afford more items
But also no at the same time because if you have more sales more of your stuff will be out of stock.
Explanation:
Can people boost their points on their questions?
Answer:
Yes.
Explanation:
An investment by the stockholders in a business increases a. assets and stockholders' equity. b. assets and liabilities. c. liabilities and stockholders' equity. d. assets o
Option A is correct. Cash, an asset account, will grow as a result of a stockholder investment. Also, it will boost stockholder equity. Total assets must equal total liabilities and stockholders' equity on the balance sheet.
More stock investments or increased net income both improve stockholders' equity. It gets smaller as a result of dividend payments or net losses. Retained profits rises as revenue accounts are closed out into it and falls when expense accounts and cash dividends are closed out into it.
The amount that a company's owners have invested in their enterprise is known as shareholders' equity. This covers the funds they have directly invested as well as the total amount of earnings the business has generated and reinvested since its beginning.
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how can Credit cards make it more challenging to save?
Answer:
well cuz you have all your money right there so if youratthestoreand youwant something really bad than its easy to talk yourself into it but if you have cash than you could leave some home and oy bring a setin amount to spend. hope this helps
use the financial statements from the pepsico 2021 annual report (on the following pages) what type(s) of stock is (are) reporting on pepsico's balance sheet at december 25, 2021
According to the financial statements from the PepsiCo 2021 Annual Report, the type of stock reported on PepsiCo's balance sheet on December 25, 2021, is common stock.
The balance sheet reports the following under the "Stockholders' Equity" section:
Common Stock: PepsiCo's balance sheet reports the number of common shares outstanding, which represents the total number of shares of common stock that have been issued by the company and are currently held by investors.
Preferred Stock: PepsiCo does not have any preferred stock outstanding as of December 25, 2021, according to their balance sheet.
This indicates that the company only has common stock and no preferred stock reported on its balance sheet. The common stock is reported at its par value of $0.01 per share, and the treasury stock is reported at its cost. The number of shares authorized, issued, and held as treasury stock are also reported on the balance sheet.
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uestion 1. GTF Corporation has 5 percent coupon bonds on the market with a par of $1,000 and 10 years left to maturity. The bonds make annual interest payments. If the market interest rate on these bonds is 7 percent, what is the current bond price? Question 2. MTV Corporation has 7 percent coupon bonds on the market with a par of $1,000 and 8 years left to maturity. The bonds make semi-annual interest payments. If the market interest rate on these bonds is 6 percent, what is the current bond price? Question 3. Jones Corporation has zero coupon bonds on the market with a par of $1,000 and 8 years left to maturity. If the market interest rate on these bonds is 6 percent, what is the current bond price? (Use the semi-annual interest payment model.) Question 4. Wilson Corporation has 5 percent coupon bonds on the market with a par of $1,000 and 6 years left to maturity. The bonds make annual interest payments. If these bonds currently sell for $800, what is its yield to maturity (YTM)? Question 5. Linville Corporation issued 15-year, par $1,000 bonds ten years ago at a coupon rate of 5 percent. The bonds make semi-annual payments. If these bonds currently sell for 90 percent of par value, what is its yield to maturity (YTM)? Question 6. Pecos Company has just issued a 10-year, 10 percent coupon rate, $1,000 par bond that pays interest semiannually. Three years later, if the going rate of interest on the bond falls to 8 percent, what is the value of the bond? Question 7. Karen just bought a 10 -year, 5% coupon bond with $1,000 par for $825. If she sells this bond four years later for $950, what is her realized yield in year 4 (with semi-annual interests)?
Question 1: The current bond price for GTF Corporation's 5 percent coupon bonds is approximately $936.76.
The bond price can be calculated using the present value formula for a bond. Given the annual coupon payment of $50 (5% of $1,000), a maturity period of 10 years, and a market interest rate of 7%, we can use the formula to calculate the present value of the bond's cash flows. The bond price is the sum of the present value of the annual coupon payments and the present value of the par value received at maturity.
Question 2: The current bond price for MTV Corporation's 7 percent coupon bonds is approximately $1,086.98.
Similar to question 1, we use the present value formula for bonds to calculate the current bond price. However, since the bonds make semi-annual interest payments, we need to adjust the coupon rate and the number of periods accordingly. The coupon payment is now $35 (7% of $1,000 divided by 2), and the maturity period is 8 * 2 = 16 semi-annual periods. By calculating the present value of the bond's cash flows using the market interest rate of 6%, we find the current bond price.
Question 3: The current bond price for Jones Corporation's zero coupon bonds is approximately $740.58.
Zero coupon bonds do not make periodic coupon payments but provide a lump sum payment at maturity. We can calculate the present value of this lump sum payment by using the present value formula for bonds. With a market interest rate of 6% and a maturity period of 8 * 2 = 16 semi-annual periods, we calculate the present value of the par value ($1,000) received at maturity to determine the current bond price.
Question 4: The yield to maturity (YTM) for Wilson Corporation's 5 percent coupon bonds is approximately 7.54%.
The yield to maturity is the rate of return earned on a bond if held until maturity. To calculate the YTM, we need to find the discount rate that equates the present value of the bond's cash flows (coupon payments and the par value) to its current market price of $800. By using the present value formula and solving for the yield to maturity, we find that it is approximately 7.54%.
Question 5: The yield to maturity (YTM) for Linville Corporation's 5 percent coupon bonds is approximately 5.84%.
Similar to question 4, we need to calculate the yield to maturity for Linville Corporation's bonds. Given a coupon rate of 5%, a maturity period of 15 * 2 = 30 semi-annual periods, and a market price of 90% of the par value ($1,000), we use the present value formula to find the YTM. By solving for the yield to maturity, we find it to be approximately 5.84%.
Question 6: The value of the bond issued by Pecos Company, three years later when the interest rate falls to 8%, is approximately $1,155.55.
The value of a bond changes with the fluctuation of interest rates. In this case, since the going rate of interest on the bond falls to 8% three years later, we need to calculate the present value of the bond's cash flows using the new interest rate. With a 10% coupon rate, a maturity period of 10 * 2 = 20 semi-annual periods, and an interest rate of 8%, we find the value of the bond to be approximately $1,155.55.
Question 7: Karen's realized yield in year
4, considering semi-annual interests, is approximately 6.99%.
To calculate the realized yield, we need to find the rate of return earned on the bond when it is sold after four years. We use the present value formula to determine the purchase price of the bond, taking into account the semi-annual coupon payments, the market interest rate, and the number of periods. By calculating the yield to maturity (YTM) based on the purchase price of $825 and the future sale price of $950, we find that the realized yield in year 4 is approximately 6.99%.
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What is revenue and what is profit?
Explanation:
The income returned by an investment is revenue.
Total income or cash flow minus expenditures is profit.
Hope it will help :)
Answer:
Revenue consists of all income before costs. Profit is what remains of the income after costs.
Explanation:
Hope this helps :)
Tim Horton wants to raise funds to open a branch of their coffee shop in Trinidad. To raise the funds, Tim Horton would sell bonds 100 $1,000 par value with a coupon interest rate of 6%. The bonds would mature in 15 years and interest would be paid semi-annually. The required rate of return is expected to be 8%.
Requirement:
a) Calculate the value of one bond
b) What is the total amount Tim Horton would raise if all bonds were sold?
Answer:
a) The value of one bond is $837.08.
b) The total amount Tim Horton would raise if all bonds were sold is $83,708.
Explanation:
a) Calculate the value of one bond
This can be calculated as follows:
Annual coupon = Bond face value * Coupon interest rate = $1,000 * 6% = $60
Annual coupon discount factor = ((1 - (1 / (1 + r))^n) / r) .......... (1)
Where;
r = required semi-annual rate of return = required annual rate of return / number of semi-annual in a year = 8% / 2 = 0.08 / 2 = 0.04
n = number of semi-annuals = number of years * number of semi-annual in a year = 15 * 2 = 30
Substituting the values into equation (1), we have:
Semi-annual coupon discount factor = ((1-(1/(1 + 0.04))^30) / 0.04) = 17.2920333006645
Present value of coupon = ((Annual coupon / number of semi-annual in a year) * Semi-annual coupon discount factor) = (($60 / 2) * 17.2920333006645 = $528.76
Present value of the face value of the bond = Face value of the bond / (1 + r)^n = ($1,000 / (1 + 0.04)^30 = $308.32
Therefore, we have:
Bond value = Present value of coupon + Present value of the face value of the bond = $528.76 + $308.32 = $837.08
Therefore, the value of one bond is $837.08.
b) What is the total amount Tim Horton would raise if all bonds were sold?
Number of bonds expected to be sold = 100
Value of one bond = $837.08
Total amount that would be raised = Number of bonds expected to be sold * Value of one bond = 100 * $837.08 = $83,708
Therefore, the total amount Tim Horton would raise if all bonds were sold is $83,708.
It is not necessary, when rejecting a job candidate, to worry about how the rejection is worded, as it will have minimal, if any, impact on the organization. True False