Two modules validate customer id and register customer are unit tested individually. Integration testing should be done to check whether register customer is calling validate customer id and validate customer id is called properly by register customer
Integration testing entails determines whether or not distinct modules perform well together.
Integration testing is a sort of software testing which involves merging of two or more modules to assess the flow between them.
Integration testing also ensures that the interactions between different software components which run smoothly and without difficulty.
Integration testing is a sort of software testing in which the various units, modules, or components of a software application are all evaluated together.
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Alicia has been working for JMM Corp. for 32 years. Alicia participates in JMM’s defined benefit plan. Under the plan, for every year of service for JMM she is to receive 2 percent of the average salary of her three highest years of compensation from JMM. She retired on January 1, 2019. Before retirement, her annual salary was $570,000, $600,000, and $630,000 for 2016, 2017, and 2018. What is the maximum benefit Alicia can receive in 2019?
Answer:
$225,000
Explanation:
Alicia's total benefits = (2% x 32 years) x [($570,000 + $600,000 + $630,000) / 3] = 64% x $600,000 = $384,000
but Alicia will not be able to receive the full amount in 2019 since the IRS limits the maximum annual compensation received from a defined benefit plan to $225,000 (for 2019, it increased to $230,000 for 2020 and 2021). So Alicia would only receive $225,000 during 2019.
The Discount Rate is equal to 1% and the Fed Funds Rate is equal to .5%
At what rate would banks be able to borrow from each other's reserve balances?
which one of the following is the key financial market feature that must be present if investors are to be attracted to equity securities? multiple choice question. trading floor international trading equal bid and asked prices market liquidity
Market liquidity is essential for attracting investors to equity securities due to the ease of buying/selling shares.
Market liquidity is the key monetary market highlight that should be available assuming financial backers are to be drawn to value protections. Liquidity alludes to the simplicity with which financial backers can trade protections without influencing their market cost. Value financial backers require market liquidity to guarantee that they can undoubtedly trade shares at whatever point they need, without confronting huge exchange expenses or cost unpredictability. A liquid market empowers financial backers to settle on informed venture choices in view of freely accessible data and advances straightforwardness and effectiveness on the lookout.
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Which of the following best describes the purpose of an Egyptian pyramid?
A. the pharaoh's home
B. a monument to honor the gods
C. the pharaoh's burial chamber
D. a storage place for the pharaoh's treasures
Answer:
C. The pharaoh's burial chamber
Explanation:
The purpose of the Pyramids where for when the Pharaoh were to die they would be wrapped and put in a coffin and placed in the BURIAL CHAMBER will lots of treasures for the afterlife.
Name the three major credit reporting agencies
Answer:
Transunion, Equifax, Experian
Explanation:
These are three credit reporting agencies that i can give you.
Keri has already installed Microsoft Office Tools. When she opens Excel, the first step toward making the Analysis ToolPak available is to
open Advanced Filter under the Data tab.
open Microsoft Office Help.
go to the Formulas tab and click More Functions.
go to the Excel Options dialog box.
Answer:
Open Microsoft Office Help.
Go to the Formulas tab and click More Functions.
Explanation:
Select File → select Options → select Advanced → scroll to General → insert the location in the "At startup, open all files in" dialog box.
Answer:
open Microsoft Office Help
Explanation:
:)
A company ''A'' generates revenue from sales of dollar 850,000 it deducts the costs for materials, labor, rent is dollar 150,000 what left is its profit?
In everyday life, the terms "profit" and "income" are frequently used interchangeably.
What is Gross Profit ?However, depending on the context, these terms can have very different and specific meanings in corporate finance.
While income denotes a positive flow of cash into a business, net income is much more complicated. Profit is commonly understood to be the cash left over after expenses are deducted.
Though gross profit and operating profit both fit this definition in the most basic sense, the types of income and expenses that are accounted for differ significantly.
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why is the quality of standards/services of products usually low for a domestic business?
Answer:
Domestic Business requires comparatively less capital investment as compared to international business. Domestic Business has few restrictions, as it is subject to rules, law taxation of a single country. As against this, international business is subject to rules, law taxation, tariff and quotas of many countries and therefore, it has to face many restrictions which are barriers in the international business. The nature of customers of a domestic business is more or less same.
Explanation:
Hope it helps you
What is less liquid, Cash or Stocks and why?
Words have the power to shape our perceptions. While negative language focuses on the problems, positive language leads to _______________.
Answer:
Explanation:
Hehe
Georgina puts $45 into an account which pays interest at a rate of 5.2% per year. How much money would she have after a year
Answer:
The money transfer to the bank accountwhen should a factory stay open even if it is losing money
Even if a business ceases to exist, it will continue to pay its fixed costs, or the price for the fixed inputs.
Should a firm shut down immediately if it is making losses?If ceasing operations would result in a smaller loss for the company, it should do so. When the variable cost exceeds the total revenue, the shutdown occurs. The company will not be able to make a profit in the short term if it continues to run when the average variable cost is higher than the price.
How long can a company operate at a loss?You can only deduct losses from your business for three out of five tax years, according to the IRS. The IRS may prevent you from deducting business losses from your taxes if you can't demonstrate that your company is beginning to turn a profit.
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How many products does your company have in the first three years of the MikesBikes simulation?
The number of products a company has in the first three years of the MikesBikes simulation will depend on various factors, including the company's strategy, market demand, and competition.
In the MikesBikes simulation, companies have the option to develop and produce multiple products, each with its own unique features and price points.
Companies can choose to focus on producing a limited number of high-quality, premium products or a larger number of lower-priced, mass-market products.
Factors such as market demand, competition, and production capacity can also impact the number of products a company chooses to produce. Some companies may choose to introduce new products or discontinue existing ones based on changes in market trends or consumer preferences.
Overall, the number of products a company has in the first three years of the MikesBikes simulation will depend on various factors, including the company's strategy, market demand, and competition.
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Managing the international environment (Connect, Perform) Kirin Brewery, Japan's largest producer of beer, allows the Charles Wells Brewery in England to manufacture beer to Kirin's specifications and market the beer as Kirin Beer. Kirin Brewery earns a royalty on the beer sold in England. What type of international business is this an example of? O Franchising Licensing O Exporting Importing Disney invested approximately $4 billion to construct a Disney theme park and resort near Shanghai, China.
In the given situation international business is an example of the (B) licensing business.
What is licensing business?A business arrangement whereby one firm authorizes another company to produce its goods in exchange for a certain fee.
Leasing out your patents, trademarks, copyrights, designs, and other intellectual property to third parties is one of the fastest and most profitable methods to expand your firm.
Normally, a company's economic activity and physical location (address) decide whether licenses are required to operate lawfully.
The number of employees and the type of organization, such as sole proprietorship or corporation, may also be deciding considerations.
A company operating without the necessary business permits may be fined or shut down by government organizations.
Therefore, in the given situation international business is an example of the (B) licensing business.
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Correct question:
Kirin Brewery, Japan's largest producer of beer, allows the Charles Wells Brewery in England to manufacture beer to Kirin's specifications and market the beer as Kirin Beer. Kirin Brewery earns a royalty on the beer sold in England. What type of international business is this an example of?
A. Franchising
B. Licensing
C. Exporting
D. Importing
The Food and Drug Administration sets standards for
O advertising.
O product labeling.
O the environment.
O traffic safety.
Answer:
B. Product Labeling
Explanation:
From quizlet
The Food and Drug Administration sets standards for product labeling.
What is product labeling?Product labeling is the details information of what a products entails and this is often writing on the product.
Product labeling is an important standards set by Food and Drug Administration as this help the consumer to be know the following:
The product ingredientHow healthy or unhealthy the product are etcInconclusion the Food and Drug Administration sets standards for product labeling.
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suppose smith wants one iphone no matter what the price is between $0 and $350, jones wants one iphone no matter what the price is between $0 and $200, and griffith wants one iphone no matter what the price is between $0 and $450. in this case, each individual buyer’s demand curve will be and the market demand curve will be .
The answer is Each individual buyer’s demand curve will be Vertical and the market demand curve will be Downward sloping.
The demand curve could be a graphical representation of the connection between the value of an honest or service and therefore the quantity demanded for a given period of your time. in a very typical representation, the value will appear on the left vertical axis, the amount demanded on the horizontal axis.
The demand curve will move downward from the left to the correct, which expresses the law of demand—as the worth of a given commodity increases, the amount demanded decreases, all else being equal.
Note that this formulation implies that price is that the variable, and quantity the variable. In most disciplines, the experimental variable appears on the horizontal or x-axis, but economics is an exception to the current rule.
The degree to which rising price translates into falling demand is named demand elasticity or price elasticity of demand. If a 50% rise in corn prices causes the number of corn demanded to fall by 50%, the demand elasticity of corn is 1. If a 50% rise in corn prices only decreases the amount demanded by 10%, the demand elasticity is 0.2. The demand curve is shallower (closer to horizontal) for products with more elastic demand, and steeper (closer to vertical) for products with less elastic demand.
Other factors can shift the demand curve similarly, like a change in consumers' preferences.
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Short-term bank loans (Select all that apply.) usually have a lower interest rate than long-term debt. usually have a higher interest rate than long-term debt. are not frequently used by large corporations as a significant component of capital structure. are frequently used by large corporations as a significant component of capital structure.
Answer:
A. usually have a lower interest rate than long-term debt.
D. are frequently used by large corporations as a significant component of capital structure.
Explanation:
A short-term bank loan can be defined as a type of loan that provides quick cash which mainly have a shorter repayment period when compared to a traditional loan.
Basically, when a small business owner (entrepreneur) or start-up needs to finance a temporal personal or working capital requirements but isn't eligible to apply for a line of credit from a bank; he or she can obtain a short-term bank loan.
Short-term bank loans usually have a lower interest rate than long-term debt and are frequently used by large corporations as a significant component of capital structure.
19. Which medium has the advantage of moving images, sound, and portability in business?
*
(1 Point)
Newspapers
Transit Media
Internet
Radio
Answer:
Internet
Explanation:
Newspapers can be online, but they are originally on paper, transit media is on billboards or the sides of cars, and the radio is definitely not it.
1. Who is an Antagonist?
Answer:
It's the person in the story who is kind of the 'bad guy'
Explanation:
They oppose the main character
Answer:
Hope it helps
Explanation:
a person who actively opposes or is hostile to someone or something; an adversary.
if you deposit $100 into a savings account which compound interest every month at a 5 % yearly interest rate, what is the expression for the amount of
The interest earned after two years $70.28177.
This is the foremost basic variety of account you'll be able to open at any bank. A savings account, by definition, permits you to deposit your cash, safe with the bank, thus you do not have to be compelled to carry it around with you or hide it in this rusty recent steel safe reception. don't fret, you'll be able to withdraw these funds after you want them.
The interest rate is that the quantity a loaner charges a receiver and could be a share of the principal—the quantity loaned. The charge per unit on a loan is usually noted on an annual basis referred to as the annual share rate (APR).
The question is incomplete, find the complete question here
if you deposit $100 into a savings account which compound interest every month at a 5 % yearly interest rate, what is the expression for the amount of the interest earned after two years?
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which of these occurs when employees are allowed to use only a few of their skills and abilities, even though they are required to make heavy use of them?
Answer:
Role Underutilization
Explanation:
Click or tap Quizmo, the InQuizitive alien, in the upper left-hand corner. See what happens, and complete the following sentence. Clicking or tapping Quizmo takes you to the "Take a ________" screen.
Answer:
test
Explanation:
The given quiz has displayed the picture of a African tiger. The test requires to identify the animal with the given picture. The African tiger are slightly different from the other tigers. They have unique facial cuts and their constant anger is known for their nature.
how many quarters does it take to set up a new sales outlet?
The number of quarters required to set up a new sales outlet can vary depending on various factors.
Establishing a new sales outlet involves multiple stages such as planning, site selection, construction, staffing, and operational setup. Each stage can take several months to complete.
Generally, it could take anywhere from two to four quarters, or six months to a year, to set up a new sales outlet. However, this timeline can be influenced by factors like the complexity of the project, availability of resources, local regulations, and the efficiency of the implementation process.
It is essential to consider these variables when estimating the duration of setting up a new sales outlet.
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Complete question is as follow:
How many quarters does it take to set up a new sales outlet?
HELP PLEASE!
1. Alex loves to build things and wants to study robotics. He needs to get a job over
the summer but the only one he can find is at a fast food restaurant Does taking
the job mean that Alex cannot pursue a career in robotics? Explain your answer
Answer:
He can take the job at the fast food restaurant to make money in order to pursue his career in robotics it doesnt mean he cant pursue it just he needs to make money for it first.
You are long a put option with an exercise price of $100. The option expires today and the underlying security is trading at $94. If youpurchased the option for $4, should you exercise the option?a. yes b. no
The net payoff is negative. Hence, it is not advisable to exercise the option. So, the correct is option (b) no.
It is asked whether to exercise the option if the option expires today and the underlying security is trading at $94. We will solve this question step by step below.
Let us first understand the given terms:
Put option: It is an option contract that gives the owner the right, but not the obligation, to sell a specified amount of an underlying asset at a predetermined price within a specified time.
Exercise price: Also called the strike price, it is the price at which an option can be exercised by the owner of the option.
Underlying security: It refers to the asset or security that an option derives its value from. In this case, it is not specified which underlying asset is being used.Let's now solve the question:
Given,
Exercise price = $100
Option premium paid = $4
Underlying security trading at = $94
Now, we have to decide whether to exercise the option or not.
For a put option, it is beneficial to exercise the option if the market price of the underlying asset is less than the exercise price.
In this case, the market price of the underlying asset is $94 which is less than the exercise price of $100.
Hence, it is profitable to exercise the option.
Now, let us calculate the net payoff of the option:
Net Payoff = Market price - Exercise price - Option premium
= $94 - $100 - $4
= -$10
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Prepaid expenses require what type of adjusting entry? Question options: Matched Accumulated Accrued Deferral
Answer:
deferral
Explanation:
Adjusting entries are when changes are made to already recorded journal entries.
Categories of adjusting entries :
accrued revenuesaccrued expensesunearned revenuesprepaid expensesdepreciation.Prepaid expenses are payments made for services yet to be delivered.
For example, paying for a year's worth of subscription on your streaming service
Prepaid expenses is an example of deferred payment, so the adjustment should be a deferral
Which of the following statements is false with regard to quality of financial reporting? a) The closer that the picture presented through the financial data is to reality. the higher the quality of financial reporting. b) Financial information should be useful both to assess the past and predict the future. It is unlikely that management can manipulate the bottom line due to the regulations in place to enforce GAAP. d) Financial statements should reflect an accurate picture of a company's financial condition and performance.
The false statement with regard to the quality of financial reporting is b) Financial information should be useful both to assess the past and predict the future. It is unlikely that management can manipulate the bottom line due to the regulations in place to enforce GAAP.
Explanation:
a) The closer that the picture presented through the financial data is to reality, the higher the quality of financial reporting.
This statement is true. High-quality financial reporting aims to provide a clear and accurate representation of a company's financial condition and performance. The closer the financial data aligns with the actual reality, the higher the quality of the reporting. This implies that financial information should accurately reflect the underlying economic transactions and events.
b) Financial information should be useful both to assess the past and predict the future. It is unlikely that management can manipulate the bottom line due to the regulations in place to enforce GAAP.
This statement is false. While financial information should be useful for assessing the past performance and making future predictions, it is not guaranteed that management cannot manipulate the bottom line. Despite regulations in place to enforce Generally Accepted Accounting Principles (GAAP) and prevent manipulations, instances of financial fraud and misreporting have occurred. Management may engage in unethical practices or attempt to manipulate financial statements to present a more favorable picture, which can undermine the usefulness and reliability of the information.
d) Financial statements should reflect an accurate picture of a company's financial condition and performance.
This statement is true. High-quality financial reporting requires financial statements to provide an accurate representation of a company's financial condition and performance. The financial statements should be prepared in accordance with GAAP, undergo independent auditing to ensure their accuracy, and reflect the economic reality of the company's transactions and events.
In summary, the false statement is b) Financial information should be useful both to assess the past and predict the future. It is unlikely that management can manipulate the bottom line due to the regulations in place to enforce GAAP.
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A 25-year, $1,000 par value bond has an 15% annual payment coupon. The bond currently sells for $905. If the yield to maturity remains at its current rate, what will the price be 5 years from now?
A977.20
B907.41
C930.11
D984.19
E906.86
The future price of the bond after 5 years will be approximately $901.49. None of the given options matches this value exactly, but the closest option is B. 907.41.
To determine the future price of the bond, we need to calculate the yield to maturity (YTM) and use it to discount the future cash flows. Given that the bond has a 15% annual payment coupon and a par value of $1,000, it means it pays $150 annually ($1,000 x 0.15).
To calculate the yield to maturity (YTM), we can use the current price of $905. The YTM is the discount rate that equates the present value of the bond's cash flows to its current price.
Using a financial calculator or Excel, we can find that the YTM for this bond is approximately 17.12%.
Now, let's calculate the future price of the bond after 5 years using the YTM:
Future price = (Future coupon payments + Future par value) / (1 + YTM)ⁿ
where:
Future coupon payments = Coupon payment x (1 + YTM)ⁿFuture par value = Par value / (1 + YTM)ⁿn = number of yearsPlugging in the values:
Future coupon payments = $150 x (1 + 0.1712)^5 = $317.86
Future par value = $1,000 / (1 + 0.1712)^5 = $584.22
Future price = ($317.86 + $584.22) / (1 + 0.1712)⁵ = $901.49
Therefore, option B. 907.41 is correct.
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Think of a business idea; Discuss and complete how you will
create the revenue stream and your financial sources for your
business implementation?
business idea is the initial step towards developing a business. Developing a revenue stream and identifying financial sources for a business idea is equally important. This answer will outline the steps and strategies that could be used to create a revenue stream and identify financial sources for business implementation.
The following are some strategies that could be used to generate revenue streams:Identify the product or service to offer: This is the first step to developing a revenue stream. The product or service to be provided should be in demand, and potential customers should be willing to pay for it.Identify the target market: Identifying the target market is important in generating revenue streams. This will provide clarity and direction on the group of people that the business will target, and how to reach them effectively.Setting a price: Pricing the product or service effectively will help to generate revenue streams. Setting the price too high may result in the loss of potential customers, while pricing too low may not generate sufficient revenue streams. The right price should be able to cover the business's expenses, and still, provide reasonable profits.Emphasize sales and marketing: Effective sales and marketing strategies will help to generate revenue streams.
Promoting the product or service to the target market will increase brand awareness and sales.Financial sources for business implementation:The following are some sources of financing a business:Personal savings: Using personal savings is an effective way of financing a business. This source of financing will eliminate the need to pay back a loan with interest.Entrepreneurship grants: There are different entrepreneurship grants available that entrepreneurs can take advantage of to finance their businesses. This type of financing will also eliminate the need to pay back a loan with interest.
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"The most commonly used measure to evaluate the ability of a revenue bond issuer to pay interest and repay principal is the ratio of:"
Answer:
B. Net Revenues / Debt Service
Explanation:
For measuring and analyzing the revenue bonds the ratio of Net revenues to the debt ratio is used
The net revenues come from
= Gross revenues - operations & maintenance cost
so for the paying the interest and to pay back the principal amount, the ratio of net revenue and the debt service is used
hence, the correct option is B.