An interview method is a type of discussion that uses a predetermined list of typical questions to acquire data.
What do you envision an interview to be like?An interviews is a planned dialogue in which both parties participate by asking and answering questions. The phrase "interview" is a colloquialism for a one-on-one talk between being an interviewer and also an interviewee.
Why is the interview crucial?The interview gives the employer the chance to ascertain whether the applicant's skills, background, and personality align with the demands of the position. The firm benefits from knowing whether a candidate will fit into the working culture.
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Antonio is buying a house for $180,000. His loan is a 15-year fixed-rate
mortgage at 3.9%. Antonio makes an 18% down payment.
• He pays a mortgage of $1080 each month.
• Homeowner's insurance costs $720 per year.
. PMI is $40 per month.
• Property taxes are 1.5% of the assessed value of $180,000.
What are Antonio's total monthly payments?
OA. $1368.33
B. $378.33
OC. $4540.00
D. $1405.00
Antonio's total monthly payments is D. $1405.00.
To find Antonio's total monthly payments, we'll break down each component of the payment and then sum them up.
1. Mortgage payment: Given as $1,080 per month
2. Homeowner's insurance: Given as $720 per year, so divide by 12 to get the monthly cost: $720 / 12 = $60 per month
3. PMI: Given as $40 per month
4. Property taxes: The assessed value is $180,000 and the tax rate is 1.5%, so find the annual property tax: $180,000 * 0.015 = $2,700 per year. Divide by 12 to get the monthly cost: $2,700 / 12 = $225 per month.
Now, add up all the components:
$1,080 (mortgage) + $60 (homeowner's insurance) + $40 (PMI) + $225 (property taxes) = $1,405 per month
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if the reserve requirement is 8% and the fed increases reserves by $20 billion, what is the total increase in the money supply?
The total increase in the money supply would be $250 billion.
When the Federal Reserve increases reserves by $20 billion and the reserve requirement is 8%, the total increase in the money supply can be calculated using the money multiplier formula.
The total increase in the money supply can be calculated using the money multiplier formula:
Money multiplier = 1 / Reserve requirement
Assuming a reserve requirement of 8%, the money multiplier would be:
Money multiplier = 1 / 0.08 = 12.5
So a $20 billion increase in reserves would lead to a:
Total increase in the money supply = $20 billion x 12.5 = $250 billion
Therefore, the total increase in the money supply would be $250 billion.
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g) Recovery schedule is a: i. A schedule prepared by the contractor to recover lost costs. ii. A schedule prepared by the owner and given to the contractor to make adjustments in the work plan. iii. A schedule prepared by the contractor after the project had fallen behind with adjustments that expedite the remainder of the project to ensure a timely finish. iv. None of the above.
Answer: iii. A schedule prepared by the contractor after the project had fallen behind with adjustments that expedite the remainder of the project to ensure a timely finish
Explanation:
The recovery schedule is a method of recovering time by the contractor. Just like the progress schedule, it should be noted that the recovery schedule is the responsibility of a contactor.
Therefore, it is a schedule prepared by the contractor after the project had fallen behind with adjustments that expedite the remainder of the project to ensure a timely finish.
What is receptive skills ?
Answer: They are skills where the person receives information.
Explanation: When it comes to receptive skills, it is where the person learns by receiving information. A common way to develop receptive skills is through reading and listening. A person who reads is someone who is receiving knowledge through the process of identifying the knowledge that he sees, while the person who listens receives it through hearing.
Noreen Leung has agreed to purchase her partner's share in the business by making payments of $1,100 every three months. The agreed transfer value is $16,500 and interest is 10% compounded annually. If the first payment is due at the date of the agreement, what is the size of the final payment?
The problem is that the size of the final payment will be $8,077.60.
The formula to calculate the future value of an annuity is given by;
FV = (PMT x ((1 + r)^(n - 1)) / r) + PV
Where;
FV = Future Value of an annuity
PMT = Payment per period
r = Rate per period
n = Number of periods
PV = Present value
Thus, we can put the given values of the problem into the above formula as follows:
FV = ($1,100 x ((1 + 0.1/4)^(11 - 1)) / (0.1/4)) + $16,500
Using the formula:
FV = $1,100 x 4.322 / 0.025 + $16,500
FV = $19,077.60
Thus, the size of the final payment will be:
Size of final payment = FV - ($1,100 x 10)
Size of final payment = $19,077.60 - $11,000
Size of final payment = $8,077.60
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The demand for cattle and an increase in railroad construction across the u. S. Contributed most directly to –.
The amount of land available for ranching in West Texas decreased due to the demand for cattle and a rise in railroad development across the United States.
What exactly do you mean by "Texas ranching"?Texas has 248,800 farms and ranches totaling 130.2 million acres, making it the state with the highest production of beef cattle in the nation. Cattle ranching contributes to Texas's culture as well as its economy.
What type of ranching is the most successful?The most profitable and straightforward animal to raise for profit is typically cattle. Simply having adequate pasture, extra hay during the winter, fresh water, immunizations, and lots of space to wander are all that beef cattle need.
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Analyze and explain the relationship that exists between government and business, exploring
the ways in which the two entities work together and interact
Answer:
b
Explanation:
Answer:
B
Explanation:
FOOK U
the majority of problems Best Buy was facing have been brought about by _________________force.
Answer:
external force
Explanation:
The majority of the problems best buy is facing have been brought about by external forces. This includes competition from rivals such as Amazon and Walmart. This makes the company loose it's shares in the market and the company's stock loosing it's value.
An international business is a firm that
Part 2
A. hires non-U.S. citizens.
B. produces a wide range of products.
C. is not from the United States.
D. engages in international trade or investment.
Option D: An international business is a firm that engages in international trade or investment.
Therefore, the correct answer is option D. An international business is a company that conducts business across national borders. This can include importing and exporting goods, investing in foreign markets, and operating in multiple countries.
It is not necessarily defined by the nationality of its employees, the range of products it produces, or the country in which it is headquartered. International business refers to the trade of goods, services, technology, capital and/or knowledge across national borders and at a global or transnational scale. It involves cross-border transactions of goods and services between two or more countries.
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To be part of the supply for a good, a producer must be
A. Only willing to supply the good
B. Only able to supply the good
C. Both are able and willing to supply the good
D. Both are able and willing to supply the good, and have already identified a buyer
E. Both able and willing to supply the good, and have already sold the good
Answer:
D. Both are able and willing to supply the good, and have already identified a buyer
On March 5 PV Inc purchased $3,300 worth of merchandise from Panther Supply with the terms 2/10,n/30 On March 14, PV Inc paid Panther Supply the amount owed less the discount. Show the journal entry for March 5 and March 14 a
A demand loan for $6691.33 with interest at 7.2% compounded quarterly is repaid after 6 years, 4 months. What is the amount of interest paid?
The amount of interest is $
(Round the final answer to the nearest cent as needed. Round all intermediate values to six decimal places as needed)
A demand loan for $6691.33 with interest at 7.2% compounded quarterly is repaid after 6 years, 4 months. The amount of interest paid is $3,746.12.
To calculate the amount of interest paid, we can use the formula for compound interest: A = P(1 + r/n)^(nt)
Where:
A = the final amount (loan + interest)
P = the principal amount (loan)
r = interest rate per period
n = number of compounding periods per year
t = number of years
Given:
Principal amount (P) = $6691.33
Interest rate (r) = 7.2% = 0.072 (expressed as a decimal)
Number of compounding periods per year (n) = 4 (quarterly compounding)
Number of years (t) = 6 years + 4 months = 6.33 years
Substituting these values into the formula, we can calculate the final amount (A):A = $6691.33(1 + 0.072/4)^(4*6.33)
A ≈ $10,437.45
To find the amount of interest paid, we subtract the principal amount from the final amount:
Interest = A - P = $10,437.45 - $6691.33 = $3,746.12
Therefore, the amount of interest paid is $3,746.12.
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Which of the following might the Scrum Team discuss during a Sprint Retrospective?
A. Methods of communication.
B. The way the Scrum Team does Sprint Planning.
C. Skills needed to improve the Development Team's ability to deliver.
D. Its Definition of Done.
E. All of the above.
The Scrum Team might discuss all of the points during a Sprint Retrospective. Therefore the correct answer is (E).
The Sprint Retrospective is an opportunity for the Scrum Team to reflect on the previous sprint and identify areas for improvement.
Methods of communication: The Scrum Team may discuss different communication methods used during the sprint, use of different communication tools and their effectiveness.
The way the Scrum Team does Sprint Planning: The team may evaluate the effectiveness and effectiveness of their Sprint Planning process and identify areas for improvement.
Skills needed to improve the Development Team's ability to deliver: The Scrum Team may assess the skills required by the Development Team to enhance their performance and delivery. Training needs and its methods for skill development need to be worked upon.
Its Definition of Done: The team may discuss whether the current Definition of Done is appropriate or if any adjustments or improvements are necessary.
Therefore the correct answer is E. All of the above as all the above topics can be discussed during a Sprint Retrospective.
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To measure an economy's output adjusted for changes in the price level, one would use Multiple Choice GDP per capita. value added. real GDP. nominal GDP.
Answer: Real GDP is an inflation-adjusted measure that reflects the number of goods and services produced by an economy in a given year, with prices held constant
Explanation: I hope this can be helpful.
the economy begins at full employment and the cnsumers begin spending a smaller portion of their incomes this would lead to
If consumers begin spending a smaller portion of their incomes while the economy is at full employment, this would likely lead to a decrease in aggregate demand.
When consumers spend less, it directly affects the consumption component of aggregate demand, which is one of the key drivers of economic activity. A decrease in consumer spending can have ripple effects throughout the economy. The decrease in aggregate demand can lead to several potential outcomes: Reduced business revenues: With lower consumer spending, businesses may experience a decline in sales and revenues, which can affect their profitability and potentially lead to cost-cutting measures such as layoffs or reduced investment. Decreased production and employment: If businesses face reduced demand for their goods and services, they may scale back production, leading to lower employment levels. This can result in a rise in unemployment and reduced income for workers. Slowdown in economic growth: Reduced consumer spending can contribute to an overall slowdown in economic growth, as it affects multiple sectors and reduces the overall level of economic activity. Potential deflationary pressures: If the decrease in consumer spending persists and businesses struggle to sell their goods and services, it can lead to a decrease in prices (deflation) as companies may engage in price reductions to stimulate demand. Policymakers may respond to this situation by implementing measures to stimulate consumer spending, such as fiscal policies (tax cuts, increased government spending) or monetary policies (lowering interest rates) to boost aggregate demand and support economic activity.
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When calculating unemployment rate, how do you factor in a part-time employee,
such as someone working 20 hours a week but wants to work 40.
A.They count as 0.5% or half employed
B.They count as fully employed
C.They are not counted as part of D.the labor force
They are counted as unemployed
They are counted as 0.5%, or the half employed, for determining the unemployment rate. The unemployment rate is the percentage of jobless people in the labour force.
The labour force is made up of people who are either employed or unemployed. The Centre for Monitoring Indian Economy said that India's unemployment rate rose from a four-year low of 6.43% in September to 7.77% in October. A person is said to be unemployed if they are actively looking for work and are thought to be the employable. This group includes those who are in the workforce but do not have acceptable occupations.
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What must be shown to prove negligence that is not needed to prove strict
liability?
A. Injury
B. Fault
C. Stream of commerce
D. Defective product
Answer:
A. Injury
Explanation:
Given that for strict liability, the defendant is only liable to accidents he or she causes, that is to prove strict liability, the plaintiff must show
cause and damages. Whereas on negligence, it is required of a plaintiff to show duty, breach, cause, and injuries.
Hence, what must be shown to prove negligence that is not needed to prove strict is "Injury" as it covers a lot of factors including both cause and damages of strict liability.
Answer:
A.P.E.X is D
Explanation:
based on this income statement for company e for the year ending december 31, 2014, what adjustment would need to be made to net income to account for depreciation and amortization in calculating cash flow from operating activities using the indirect method?
An increase of $10,000 would need to be made to net income to account for depreciation and amortization in calculating cash flow from operating activities using the indirect method.
As a result of the $10,000 increase in depreciation expense reported throughout the year, net income has been adjusted up by $10,000. We take away the effect of this non-cash transaction by adding this sum back to Net Income.
Net income is the amount that remains in your account after taxes and other withholdings have been deducted from your paycheck. Net income is the amount of money left over after operating costs, administrative expenses, cost of products sold, taxes, insurance, and any other business charges have been paid.
Total Revenues-Total Expenses=Net Income.
Both positive and negative net income is possible. You have a positive net income when your business's revenues exceed its outlays. Your net worth is negative if your total expenses exceed your revenues.
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Which statement best summarizes the law of demand ?
A. Sellers only supply goods that are in high demand from buyers.
B. Buyers are more likely to buy a products that is supplied in large quantities.
C. Sellers can easily substitute a product in high demand with another product.
S. Buyers are more interested in purchasing products as those products decline in price.
Thank you :)
Buyers are more likely to buy a product that is supplied in large quantities.
What is the law of demand?The law of demand states that the quantity purchased varies inversely with the price. In other phrases, the better the rate, the lower the quantity demanded.
What are the types of demand?Individual and Market DemandOrganization and Industry DemandAutonomous and Derived DemandDemand for Perishable and Durable GoodsShort-term and Long-term DemandLearn more about the law of demand here https://brainly.com/question/24019366
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Which of the following is not a fixed cost? *
O monthly gym membership
car payment
O rent
O vacation/recreation/fun expenses
Your supervisor, the CMO, is considering a new in-store promotion in the second year at a cos $1,800,000. (assuming no changes in market size, prices, or costs from those in year 1) The market share need to increase to pay for the promotion is % (Hint: incremental market share.)
The Contribution Margin per Unit will be $3.25. The market share needs to increase by 23.7% to pay for the promotion.
Incremental market share refers to the proportion of the market captured by a product or service due to a new promotion or an advertising campaign. In order to determine the percentage increase in market share required to pay for a $1,800,000 promotion, we need to use the following formula: Incremental Market Share = (Incremental Profit / Base Profit) × (1 / Price)where, Incremental Profit = Cost of PromotionBase Profit = Profit from Year 1Price = Selling PriceThe formula can also be written as Incremental Market Share
= (Contribution Margin per Unit × Additional Units Sold) / (Base Units Sold × Selling Price)Here, Contribution Margin per Unit
= Price - Variable CostsContribution Margin per Unit
= $7.50 - $4.25
= $3.25. Assuming that the selling price is $7.50, and the variable cost per unit is $4.25, the Contribution Margin per Unit will be $3.25.
Now, we have to find out the number of additional units sold to pay for the promotion, which is given as Additional Units Sold
= Incremental Profit / Contribution Margin per UnitAdditional Units Sold
= $1,800,000 / $3.25
= 553846.15
≈ 553846 units. Therefore, the Incremental Market Share is given by: Incremental Market Share
= (Contribution Margin per Unit × Additional Units Sold) / (Base Units Sold × Selling Price)Incremental Market Share
= ($3.25 × 553,846) / (5,000,000 × $7.50)Incremental Market Share
= 23.7% (rounded to one decimal place)Therefore, the market share needs to increase by 23.7% to pay for the promotion.
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The Contribution Margin per Unit will be $3.25. The market share needs to increase by 23.7% to pay for the promotion.
Incremental market share refers to the proportion of the market captured by a product or service due to a new promotion or an advertising campaign. In order to determine the percentage increase in market share required to pay for a $1,800,000 promotion, we need to use the following formula: Incremental Market Share = (Incremental Profit / Base Profit) × (1 / Price)where, Incremental Profit = Cost of PromotionBase Profit = Profit from Year 1Price = Selling PriceThe formula can also be written as Incremental Market Share
= (Contribution Margin per Unit × Additional Units Sold) / (Base Units Sold × Selling Price)Here, Contribution Margin per Unit
= Price - Variable CostsContribution Margin per Unit
= $7.50 - $4.25
= $3.25. Assuming that the selling price is $7.50, and the variable cost per unit is $4.25, the Contribution Margin per Unit will be $3.25.
Now, we have to find out the number of additional units sold to pay for the promotion, which is given as Additional Units Sold
= Incremental Profit / Contribution Margin per UnitAdditional Units Sold
= $1,800,000 / $3.25
= 553846.15
≈ 553846 units. Therefore, the Incremental Market Share is given by: Incremental Market Share
= (Contribution Margin per Unit × Additional Units Sold) / (Base Units Sold × Selling Price)Incremental Market Share
= ($3.25 × 553,846) / (5,000,000 × $7.50)Incremental Market Share
= 23.7% (rounded to one decimal place)Therefore, the market share needs to increase by 23.7% to pay for the promotion.
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Which loan type am I? I have limits on the amount that you can borrow based on your year in college. The federal government makes the interest payments on me while you are in college, and you make the interest payments on me after you graduate.
FIN-FL-10-10.1: Which loan type am I? I have limits on the amount that you can borrow based on your year in college. The federal government makes the interest payments on me while you are in college, and you make the interest payments on me after you graduate.
Unsubsidized Federal Student Loan
Private Student Loan
Subsidized Federal Student Loan
Institutional Student Loan
Based on the characteristics, the type of loan described is the Subsidized Federal Student Loan.
What is a student loan?This is a type of loan provided by banks or other types of financial institutions that aims at covering tuition and other education-related expenses.
What are the types of student loans?Some of the types of student loans include:
Private student loans.Federal loans (classified into subsidized or unsubsidized).Institutional student loan.What is a subsidized federal student loan?This type of loan differs from other types because:
Students do not pay interests until they graduate, instead, the federal government pays these interests.The federal government regulates this type of loan, which includes regulating how much you can borrow.Learn more about loans in: https://brainly.com/question/11794123
Answer:
Subsidized Federal Student Loan
Explanation:
I just know
Suppose risk-free rate is 6% and the expected return of the risky portfolio is 12% with 0.25 standard deviation. Your complete portfolio has 0.05 as the return variance. What is the risk premium of your complete portfolio? (Equation 5.20) Please enter the answer as a percent with two decimal places for instance 55.55 for 55.55%
The risk premium of the complete portfolio is 5.25%.
The risk premium represents the excess return of a portfolio compared to the risk-free rate. It can be calculated using the formula:
Risk Premium = Expected Portfolio Return - Risk-Free Rate
Given that the risk-free rate is 6% and the expected return of the risky portfolio is 12%, we can calculate the risk premium as follows:
Risk Premium = 12% - 6% = 6%
However, we need to convert the risk premium into a percentage with two decimal places, so the final answer is 5.25%..8%.
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On June 30, 2014, Apricot Co. paid $5,000 cash for management services to be performed over a two-year period. Apricot follows a policy of recording all prepaid expenses to asset accounts at the time of cash payment. The adjusting entry on December 31, 2014,for Apricot would include:
Answer:
A debit to Management Services Expense for $1,250
Explanation:
The adjusting entry should be
Management Services Expense Dr ($5,000 ÷ 2 × 6 ÷12) $1,250
To Cash $1,250
(being cash paid is recorded)
Here cash is debited as it increased the expense and cash is credited as it decreased the assets
Hence, the same should be considered
7. As little as
A. 6
B. 2
C. 15
D. 10
percent of privately owned businesses ever move from the start-up stage to the success stage.
As little as 6 percent of privately owned businesses ever move from the start-up stage to the success stage. The correct answer would be option A.
More than two thirds of new businesses fail and are unable to provide investors with a profit. There can be many reasons why such a low number of startups become successful. Business founders claim that reasons for failure include running out of money, being in the wrong market, lacking research, poor alliances, inefficient marketing and lacking industry expertise.
Since 2014, several causes of failure have become more common, such as a dearth of market demand. This does not imply that startup ideas are becoming scarce. It illustrates the lack of diversity among founders and investors in terms of culture, geography and socioeconomic status. For example, startups that couldn't adjust to a socially isolated lifestyle were throttled by COVID-19.
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when reimbursing the petty cash fund: multiple choice petty cash is debited. cash is debited. appropriate expense accounts are debited. petty cash is credited. no expenses are recorded.
When reimbursing the petty cash fund appropriate expense accounts are debited.
Petty cash is any small amount of cash used for expenses where payment by check is impractical due to the hassle and cost of writing, signing, and cashing checks.
Petty cash is a small amount of cash held on company premises to meet small cash needs. Examples of these payments are office supplies, cards, flowers, etc. Postage is kept in a small cash drawer or box near where you need it most.
Every business needs petty cash to make small transactions on a daily or weekly basis. Instead of having to use a check all the time, think of it as a small amount of cash to keep on hand for "small" expenses.
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which of the following is a political risk faced by organizations such as fifa that operate in multiple countries? group of answer choices a. challenges implementing the world trade organization agreements b. uncertain prices for critical commodities c. potential nationalization of invested assets d. failure of countries to pay debt obligations
The correct answer to your question is: c. potential nationalization of invested assets. This is a political risk faced by organizations like FIFA that operate in multiple countries, as it involves the possibility of a government taking control of their assets within that country .
The political risk faced by organizations such as FIFA that operate in multiple countries is the potential nationalization of invested assets. Nationalization refers to the process in which a government takes over private assets and makes them publicly owned. This can happen when a government feels that foreign investments are threatening their national security or when they want to take control of a strategic industry. Nationalization can lead to significant financial losses for organizations operating in multiple countries as they may lose their assets and investments in the affected countries.
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The most common Income lies the model in 2010 was a. between $10,000 and $14.999. b. approximately $50,000 c. between $15.000 and 519.999. d. between $35.000 and $39.999
The most common Income bracket in 2010, among the given s, is b. approximately $50,000.
It's important to note that the specific income distribution can vary based on various factors such as country, region, and demographic characteristics of the population.
Without additional information, it is challenging to determine the exact income bracket that was the most common in 2010. However, based on the s provided, approximately $50,000 appears to be the closest to a common income range for many individuals. Please note that this is a general statement, and actual income distributions can vary significantly depending on the specific data and population being analyzed.
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You write a call option on a stock for a premium of $1.00. The exercise price is $11.75. What is the option's profit or loss if just prior to expiration the stock price is $11.25? a. $0.00 b. $1.00 c. ($1.00) d. $0.50 e. ($0.50)
The option's profit or loss can be calculated by comparing the exercise price and the current stock price. In this case, the exercise price is $11.75, and the stock price is $11.25 just prior to expiration. Since the current stock price is less than the exercise price, the option is out of the money and not worth exercising.
Therefore, the option holder would lose the premium of $1.00 that they paid to purchase the option. This means that the option's profit or loss would be option c. ($1.00). The option writer, on the other hand, would make a profit of $1.00 from selling the option premium, as they do not have to pay anything to the option holder.
It is important to note that option trading involves significant risks, and investors should carefully consider their financial goals and risk tolerance before participating in such activities.
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Student aid is based on either financial need or _____ need.
merit-based
academic
social
emotional
Answer:
merit-based
Explanation:
Financial aid takes many forms, and most often does not need to be paid back.. merit based need is based on academic excellence