The investor would first receive a maintenance margin call is closest to
15.3
How to Calculate Margin call?Increase in price per ounce=Number of ounces-Required margin maintance/Initial margin
=8400-6900/5000
=0.3
Future price =Selling price per ounce + Increase in price per ounce
=15+.3
=15.3
Initial Purchase Price x [(1 - Initial Margin) / (1 - Maintenance Margin)] = Margin Call Price. The margin call price serves as a benchmark for the price below which the margin requirements are not satisfied, forcing the investor to make more deposits or sell off a certain portion of their portfolio assets in order to comply.The investor can deposit cash in the amount of the margin call to cover it. As an alternative, the investor can sell sufficient securities to satisfy the margin need with the remaining equity. Let's say the investor does not want to add to the $2,000 cash balance in the account.To learn more about margin call refer to:
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two of these bidding strategies can be used in a standard shopping campaign. which are they? choose two.
Smart Bidding techniques include target CPA, target ROAS, maximize conversions, and maximize conversion value.
What is the ideal bidding approach for a typical display campaign?Tip: Connect your bid strategy to your campaign objectives. Consider Viewable CPM bidding, for instance, if you want to concentrate on impressions. Consider Manual CPC or clicks-based bidding if you want to maximize clicks. Consider Target ROAS, Target CPA, or Maximize Conversions bidding if you're striving for conversions.
What are typical shopping campaigns?Shopping campaigns assist you in promoting your goods by providing users with comprehensive information about what you're selling before they even click your advertisement. You will subsequently be able to monitor the performance of your products over time using reporting tools that are focused on the retail industry.
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When does the automatic 60-day extension period for qualified taxpayers impacted by federally declared disasters begin?.
For a disaster that has been officially proclaimed by the federal government, the necessary 60-day delay period starts on the earliest event date listed in the disaster declaration and ends 60 days after the latest incident date.
The Secretary may specify a postponement period (as defined in paragraph (d)(1) of this section) of up to one year that may be ignored in determining under the Internal Revenue Laws with regard to any tax liability of the affected taxpayer (as defined in paragraph (d)(1) of this section) in the case of a taxpayer who is determined by the Secretary to be affected by a federally declared disaster or a terrorist or military action -
(i) Whether any or all of the actions outlined in this section's paragraph (c) were carried out in the allotted period;
(ii) the amount of interest, penalty, additional amount, or increase to the tax; and
(iii) the amount of credit or refund.
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Capital Budgeting Problems. What are some of the difficulties that might come up in actual applications of the various criteria we discussed in this course. Which one would be the easiest to implement in actual applications? The most difficult?
Capital budgets involves making long-term investment decisions that involve substantial amounts of money.
There are several difficulties that might come up in actual applications of the various criteria for capital budgeting. Here are some of the challenges:
Estimating cash flows: The accuracy of the investment appraisal process depends on the accuracy of cash flow estimates. It is difficult to predict future cash flows accurately because of various uncertainties such as changes in market conditions, technological advancements, and regulatory changes.
Choosing the appropriate discount rate: The discount rate used to calculate the present value of future cash flows is critical in the investment appraisal process. Choosing the appropriate discount rate can be challenging because it depends on several factors such as the cost of capital, risk profile of the investment, and the time horizon of the investment.
Incorporating risk: The investment appraisal process assumes that future cash flows are certain. However, there is always a degree of uncertainty associated with future cash flows. Incorporating risk into the investment appraisal process can be challenging because it requires subjective judgment.
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Why do businesses rely more on teamwork in today’s business environment?
A. Teams need fewer instructions.
B. Teams facilitate learning.
C. Teams create a harmonious environment at the workplace.
D. The team’s collective output is greater than the total of each individual’s output.
E. Teams require lesser supervision.
Its D becauses yes i need to write more for some reason
Answer:
D. The team’s collective output is greater than the total of each individual’s output.
Explanation:
Henry invests money in an account paying simple interest. no money is added or removed from the investment. to find the balance after a year he multiplies his current balance by 1.052. what percent simple interest does the account earn per year?
To find out what percent simple interest the account earns per year, we can use the formula:
I = Prt
where I is the interest earned, P is the principal (initial investment), r is the interest rate, and t is the time in years.
Since no money is added or removed from the investment, we can assume that the principal remains the same. Let's call the principal amount "x".
After one year, Henry multiplies his current balance by 1.052, which means:
1.052x = x + I
where I is the interest earned. We can simplify this equation to:
0.052x = I
Now we can substitute this value of I into the formula for simple interest:
0.052x = Prt
0.052x = x * r * 1
0.052 = r
Therefore, the account earns a simple interest rate of 5.2% per year.
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Which type of interest will allow principal to grow quicker?
A) Compound
B) Simple
C) It grows the same.
This question is from economic and personal finance
Compound interest bases the interest paid each period on both the principal debt and any accrued but unpaid interest. Interest grows over time.
What kind of interest expands more quickly?It is obvious that money grows faster when it earns compound interest compared to when it earns basic interest. If you invest $2,000 at an interest rate of 8.5% compounding twice a year for five years, to return to the example above, your final total will be $3,032.43.
Simple interest or compound interest accumulates more quickly?Compound interest accelerates the growth of your money since it calculates interest on both the initial principal and the interest that has accrued over time. Compounding can have a snowball effect, where the initial investments grow along with the revenue generated by those assets.
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Pls help me with this question!
The type of bank that contributes to the national economy by managing accounts and credit lines for both individuals and businesses is a commercial bank. So, the correct choice is option C.
Commercial banks are financial institutions that play a vital role in the economy by providing a wide range of banking services to individuals, businesses, and governments. They accept deposits from customers and offer various types of accounts, including checking accounts, savings accounts, and certificates of deposit. Commercial banks also provide loans and credit lines to individuals and businesses to support their financial needs.
By managing accounts, commercial banks facilitate the safekeeping of funds for individuals and businesses, allowing them to make transactions, earn interest on their deposits, and access their funds conveniently through various banking channels.
Furthermore, commercial banks contribute to the national economy by extending credit lines to individuals and businesses. These credit lines can be used for various purposes, such as financing investments, expanding businesses, purchasing assets, or managing cash flow. By providing credit, commercial banks support economic growth, entrepreneurship, and job creation.
In summary, commercial banks are the type of bank that actively contributes to the national economy by managing accounts and credit lines for both individuals and businesses, playing a crucial role in promoting financial stability and facilitating economic activities.
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when a registered representative leaves a firm, within what time period is the individual required to reassociate with a new firm and complete a u4 before a registration expires?
When a registered representative leaves a firm, within 2 years time period is the individual required to reassociate with a new firm and complete a U4 before a registration expires.
A registered representative (RR) is a person who represents clients who trade securities and investment products for a client-facing financial institution, such as a brokerage firm. Enlisted delegates might be utilized as dealers, monetary guides, or portfolio chiefs.
The Securities and Exchange Commission (SEC) and the Financial Industry Regulatory Authority (FINRA) oversee registered representatives and require them to pass licensing examinations. RRs should besides stick to the reasonableness standard. Before being recommended to an investor by a company, an investment must satisfy the suitability requirements outlined in FINRA Rule 2111. The accompanying inquiry should be addressed positively: " Is my client a good candidate for this investment?
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HELP ME PLEASE!!!!!!!!!!
Rosa is a full-time homemaker not currently searching for other work. Andy is a full-time student who is not looking for a job. Who is included in the labor force by the Bureau of Labor Statistics?
a.only Rosa
b.only Andy
c.both Rosa and Andy
d.neither Rosa nor Andy
Bonds are
a.both a store of value and a medium of exchange.
b.a store of value, but not a medium of exchange.
c.a medium of exchange, but not a store of value.
d.neither a store of value nor a medium of exchange.
Consider the expressions T - G and Y - C - G. Which of the following statements is correct?
a.Each one of these is equal to national saving.
b.The first of these is public saving; the second one is national saving.
c.The first of these is private saving; the second one is public saving.
d.The first of these is public saving; the second one is private saving.
According to 2017 Belgium Labor data information: Adult Population in 2017= 4500, Number of employed in 2017= 2800, and Number of Unemployed in 2017= 700. The labor-force participation rate of Belgium in 2017 was
a.62.22%.
b.54.28%.
c.15.55%.
d.77.78%.
According to Japan Labor data information: Adult Population in 2016= 3500, Number of employed in 2016= 1800, and Number of Unemployed in 2016= 600. The unemployment rate of Japan in 2016 was
a.11.42%.
b.25.00%.
c.54.28%.
d.17.39%.
You buy laptop from Apple pay cost of laptop with currency. Which function of money does this best illustrate?
a.medium of exchange
b.unit of account
c.store of value
d.liquidity
Sam is a broker. He has had several job offers, but he has turned them down because he thinks he can find a firm that better matches his tastes and skills. Adam has looked for work as an accountant for some time. While the demand for accountants doesn’t appear to be falling, there seems to be more people applying than jobs available.
a.Sam and Adam are both frictionally unemployed.
b.Sam and Adam are both structurally unemployed.
c.Sam is frictionally unemployed, and Adam is structurally unemployed.
d.Sam is structurally unemployed, and Adam is frictionally unemployed.
Compared to stocks, bonds offer the holder
a.lower risk and lower potential return.
b.lower risk and higher potential return.
c.higher risk and lower potential return.
d.higher risk and higher potential return.
1. The person included in the labor force by the Bureau of Labor Statistics is d. neither Rosa nor Andy.
The two persons are not regarded as unemployed because they are not seeking or ready for jobs.
2. Bonds are A. both a store of value and ...
Especially treasury bonds, they retain their values as stores of value and can be exchanged for cash and other assets. Thus, bonds are both a store of value and a medium of exchange between persons.
3. The correct statement about the expressions T - G and Y - C - G is b. The first of these is public saving; the second one is national saving.
Public saving is the difference between Taxation income (T) and Government Spending (G), while national saving is the difference between national income (Y) and Private Consumption (C), and Government Spending.
4. The labor-force participation rate of Belgium in 2017 based on its 2017 Labor data was a. 62.22% (2,800/4,500 x 100).
5. The unemployment rate of Japan in 2016 based on its 2016 Labor data was d. 17.14% (600/3,500 x 100).
6. The function of money that this transaction with Apple BEST illustrates is a. medium of exchange.
7. The best description of Sam and Adam is c. Sam is frictionally unemployed, and Adam is structurally unemployed.
Sam's unemployment is voluntary unlike Adam's.
8. When stocks are compared to bonds, bonds generally offer the bondholder a. lower risk and lower potential return.
Thus, the difference between bonds and stocks lies in the risk and return profiles of both investments. Stocks bear higher risks and returns than bonds.
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if a beach used by local people is purchased and its access restricted to tourists, the term "crowding out" is applied.
T/F
The given statement "if a beach used by local people is purchased and its access restricted to tourists, the term 'crowding out' is applied" is false because the term "crowding out" refers to a situation where public or private investments replace investments that would have been made by the private sector on its own.
It's usually used to refer to government involvement in financial markets or the displacement of private investment caused by government borrowing. In this situation, a beach that was once used by locals has been purchased and access has been restricted to tourists, which is a different issue.
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What vision do you have for your own future?
A short summary of imagination positive future and pls include doctors cuz when I grow up I wanna be a doctor
No one can write down a vision for your future, its your vision and future.
How should the headings of a resume be formatted so that they are clear and easy to find?
a. bold and italicized
b. capitalized and bold
c. underlined and italicized
d. capitalized and underlined
Answer:
B. capitalized and bold
Explanation:
Please mark my answer as the Brainiest!!!
Got it correct on Edge.
A business plan is a tool used by the federal government to determine how to strengthen the business sector through macroeconomics and microeconomics. True or false?.
False, because a business plan is a guide for what to do in the future. It serves as a roadmap or guide to help businesses focus and pursue success. Entrepreneur explains goals, steps and how a business can achieve success and create value.
For those of you who want to start a business, you should make a business plan carefully so that it has clear goals, whether in the short or long term. The reason is a business plan helps us to determine the right steps in a business. This starts from determining the market, seeking funding, estimating business income and expenses, and analyzing all risks that will occur along the course of the business.
Each stage that is passed must be processed with the right policy. In making policy, the business plan is one of the important supporting factors so that the target is not misdirected. So, broadly speaking, a business plan is a guide for you in running and developing a business, both personal and corporate.
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In which form of reproduction will pieces of the parent develop into identical copies of the parent?.
In asexual reproduction, the parent's genetic material is broken down into exact duplicates of the parent.
Why is asexual reproduction advantageous?Producing children is quicker and comparatively easier for asexuals than it is for sexual beings. This is so that there is only one participant required. There is no need to look for or wait for a partner who is ready. It omits the courtship rituals that are observed in more advanced sexual animals.
In the absence of mating, the organism can produce numerous offspring of its own kind. Therefore, asexual reproduction requires less time and energy than sexual reproduction. The ability to colonize a habitat more quickly than sexual organisms gives asexual organisms an additional advantage.
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What is the outcome of enforcing contracts and property rights in a market system?
The outcome of enforcing contracts and property rights in a market system is to promote economic efficiency, growth, and stability and functioning of a market system
It provides a system of rules and incentives for individuals and firms to engage in mutually beneficial exchanges and encourages economic activity. When contracts and property rights are clearly defined and protected, individuals and firms can make long-term investments with confidence that their investments will be secure. This leads to an increase in economic efficiency, as resources are allocated to their most productive uses, and economic growth, as individuals and firms are encouraged to take risks and innovate.
On the other hand, a lack of enforcement of contracts and property rights can lead to market inefficiencies, such as reduced investment and economic activity. In such an environment, individuals and firms are less likely to trust each other, and transactions become more costly, as they require additional measures to protect against the risk of non-performance or theft. In extreme cases, it can lead to a complete breakdown of the market system, as individuals and firms are unable to engage in mutually beneficial exchanges.
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Consider a second hand car market where three types of cars are being sold: High quality (H), medium quality (M) and low quality (L). Sellers value an H at $2000, an M at $1200 and an L at $800, whereas buyers value an H at $1800, an M at $1600 and an L at $1400. As discussed in the "Akerloff's Lemons Market", sellers are able to distinguish between different quality cars but buyers are not and a buyer believes that in this market 40% of the cars is an H, 30% of the cars is an M and 30% of the cars is an L. a) Determine which type of cars will be sold at the efficient allocation. b) Determine which type of cars will be sold at the market equilibrium.
Answer:
a) Determine which type of cars will be sold at the efficient allocation.
All cars would be sold in a Pareto efficient allocation.
In a Pareto efficient market, resources are all allocated in teh most efficient possible way. This is the reason why this is just a theoretical concept that does not necessarily apply in real life.
b) Determine which type of cars will be sold at the market equilibrium.
Since consumers are only willing to pay up to $1,620 for a used car, only medium quality and low quality cars will be sold. The price of high quality used cars is higher than the equilibrium price.
Explanation:
the most a buyer would be willing to pay for a used car is ($1,800 x 40%) + ($1,600 x 30%) + ($1,400 x 30%) = $720 + $480 + $420 = $1,620
On february 2, miles inc. Pays $800 to purchase a one-year insurance policy that will expire next year on january 31. Miles indicates this transaction in its books by recording an $800 reduction in cash and an $800 increase in expenses. Did miles make the proper accounting entries? why or why not?.
If on february 2, miles inc. Pays $800 to purchase a one-year insurance policy. No miles did not make the proper accounting entries.
Insurance policy can be defined as a coverage that help to cover cost incase of unforeseen circumstance.
Based on the scenario mile did not makes the proper accounting entries based on the following:
Prepaid insurance is not an expense but an asset.Hence, the company should have offset the decrease in cash of the amount of $800 and $800 increase in prepaid insurance into an asset account.Therefore miles did not make the proper accounting entries.
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net sales are $300,000, cost of goods available for sale is $280,000, and gross profit percentage is 35%. What is the amount of ending inventory
The amount of ending inventory is $42,000.How to find the amount of ending inventory can calculate the amount of ending inventory using the given information:First, find out the cost of goods sold (COGS) by using the gross profit percentage.
Gross profit percentage = (Net sales - COGS) / Net sales 35%
= ($300,000 - COGS) / $300,000 Multiplying both sides by $300,000, we get:($300,000)(0.35)
= $300,000 - COGS$105,000
= $300,000 - COGSCOGS = $195,000Now, we can use the following formula to find out the ending inventory:Ending inventory
= Cost of goods available for sale - Cost of goods sold Ending inventory
= $280,000 - $195,000Ending inventory
= $85,000However, this is the cost of the inventory. To find the amount of ending inventory, we need to subtract the ending inventory cost from the cost of goods available for sale.
Amount of ending inventory = Cost of goods available for sale - Ending inventory Amount of ending inventory = $280,000 - $85,000Amount of ending inventory = $195,000Therefore, the amount of ending inventory is $42,000.
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the slope of the security market line is equal to: group of answer choices one. the market risk premium. the market rate of return. the risk-free rate plus the market risk premium.
The market risk premium, or excess return over market return, is represented by the slope of the security market line. The additional systematic risk connected to the security is offset by the market risk premium.
What is the slope of the security market line?The slope of the SML, which measures the discrepancy between the expected return on a market portfolio and the risk-free rate.
Which of the following assertions about the slope of the security market line being equal to the market risk premium is true?The market risk premium is used to calculate the slope of the security market line. Explanation: The CAPM (capital asset pricing model) is graphically represented by the security market line (SML).
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the amount of money you may earn over time is called
The amount of money you may earn over time is called Future Earnings Potential. Amount that you might make in your lifetime. Demographics. Individual traits like age, gender, race, income, and so forth.
What is Future Earnings Potential?
Earning potential is the anticipated increase in total return that an investor might anticipate from holding an investment (capital gains plus dividends and cash flows). Ratio analysis is a tool used by fundamental analysts to estimate a company's earning potential for investors.
Total future values of your contracts less your compensation, the payroll of the company, and other fixed costs. Your projected future business income is represented by the resulting number.
Let's start with the definition of your earning potential (income potential): this is the sum of money you should be able to accumulate over the course of a certain period of time. In other words, this is a reference to your potential for financial gain. Earning potentials are often determined by the highest wage in a given industry or profession.
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When developing a product, what are the benefits a usability study provides for design teams? select all that apply. 1 point observe firsthand user interactions with a product receive in-depth user feedback about a product inexpensive to conduct shows how users actually interact with a product in real life
The developing a product, what are the benefits a usability study provides for design teams are:
a product to receive in-depth user feedback about.a product inexpensive to conduct shows how users actually interact with. Thus, option (c) and (b) is correct.What is product?
The thing being sold is called a “product.” A product and service market foundation. Items are divided into two categories: industrial products and consumer products.
The product was the design for the benefit of the user team as the feedback to the customer and the product was the inexpensive was the show the customer not purchased because of it cheap.
Therefore, option (c) and (b) is correct.
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HELPPPPPP!!!! ASAPPPPP!!!!!
Answer:
B I believe
Explanation:
Why can you win a presidential election without winning the most individual votes?
Answer:
Because of Electoral College system
Explanation:
Answer:
You can win when you get more electoral college votes than your opponent. The first to 270 votes wins the race.
Explanation:
(hope this helps :P)
What is the term used to describe a temporary low supply of a good or service?.
Answer:
That would be a shortage.
(02.10 LC) What strategy works best to get out of a rut?
A) Attitude
B) Belief
C) Flexibility
D) Selling out
Answer is C Flexibility because that's the only thing that goes in the exercise category.
Explanation: I hoped that Helped!!
Answer:
Flexibility.
Explanation:
Cognitive flexibility refers to the brain’s ability to transition from thinking about one concept to another. The quicker you are able to switch or “shift” your thinking from one dimension (e.g. color of an object) to another (e.g. shape of an object), the greater your level of cognitive flexibility.
Dubon Consultants works with businesses to identify inefficiencies in their filing and computer system to enhance customer support. Dubon Consultants is an example of a ________ company.
A. marketing
B. manufacturing
C. merchandising
D. service
Dubon Consultants is an example of a service company. A service company provides services rather than physical goods.
In this case, Dubon Consultants provides consulting services to businesses to improve their filing and computer systems, with the goal of enhancing customer support. They do not manufacture or sell physical goods, but instead provide expertise and guidance to help their clients improve their operations. Dubon Consultants is an example of a D. service company. They work with businesses to identify inefficiencies in their filing and computer system to enhance customer support, which falls under the category of providing services to their clients.
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T/F : A written plan gives the single person empowerment, self-accountability and control.
Yes, the above statement is true. A written plan can provide a single person with a sense of empowerment, self-accountability, and control over their goals and actions.
A written plan is one that outlines how an operation will be carried out, including particularly how the Contractor will carry out the Contract work in order to finish it in the allotted time frame. Written plans aid in determining whether your business idea is feasible. Before starting a firm, you must unbiasedly assess whether your idea will produce the desired results. People frequently launch new enterprises to change employment, work for themselves, or pursue their passions.
By putting their plans in writing, individuals can clarify their objectives and track their progress, which can enhance their motivation and sense of personal responsibility for achieving their desired outcomes.
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the guy who put letters in math is the reason im failing in geometry im just like
Answer:
I did that because I wanted to earn points, and alas. I wasnt sure how to other than this.
Explanation:
Company A is raising $1 million at its initial public offering (IPO) by issuing 2,000 shares of stock?
The value of each share if you calculate it as $1,000,000/2,000 =500.
What is stock?A stock is referred to as a kind of ownership of certain items. When an individual holds stocks or shares in the market they are entitled as a stockholder or shareholder and liable for some dividend.
The process of announcing new shares of stock to the people for the first time in a private company is known as an initial public offering (IPO). An IPO allows a company to request equity capital from the general public.
The business has grown as a pre-IPO private company with a very small number of proprietors who own the stock in the company.
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The complete question is Probably
Company A is raising $1 million at its initial public offering (IPO) by issuing 2,000 shares of stock. What is the value of each share if you calculate it as $1,000,000/2,000 =
What is cash flow?...................................
Answer:
Cash flow is the net amount of cash and cash-equivalents being transferred into and out of a business. At the most fundamental level, a company's ability to create value for shareholders is determined by its ability to generate positive cash flows, or more specifically, maximize long-term free cash flow
Explanation: