The given figure represents the Yuan foreign exchange market for U.S. dollars. It shows the exchange rate of Chinese yuan (CNY) per U.S. dollar (USD) on the y-axis and the quantity of CNY demanded and supplied on the x-axis.
To answer the question, we need to understand the relationship between the exchange rate and the currency value. The exchange rate is the price of one currency in terms of another currency. In this case, the exchange rate shows how many Chinese yuan one U.S. dollar can buy or sell for. A decrease in the exchange rate indicates that the U.S. dollar can buy more Chinese yuan, which means that the Chinese yuan has depreciated relative to the U.S. dollar. Conversely, an increase in the exchange rate means that the U.S. dollar can buy fewer Chinese yuan, which means that the Chinese yuan has appreciated relative to the U.S. dollar.Looking at the given figure, we can see that as we move up the y-axis, the exchange rate of CNY per USD decreases. For example, at point A, the exchange rate is 6.8 CNY per USD, while at point B, it is 6.5 CNY per USD. This implies that the U.S. dollar can buy more Chinese yuan at point B than at point A, which means that the Chinese yuan has depreciated relative to the U.S. dollar. Therefore, the correct statement based on this figure is:Moving up the y-axis, the Chinese yuan depreciates relative to the U.S. dollar.
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Steps in achieving success in strategic decision. (Subject: Enterprise Systems and Architecture).
The steps in achieving success in strategic decisions are to: Assess the Situation, Determine the Objective, Strategize, Develop and Monitor Plans and Adjust accordingly.
Assess the Current Situation: The first step is to understand the current situation. Understanding the present situation assists you in identifying the areas where changes are necessary. A successful strategic decision is based on a comprehensive understanding of the current situation.Determine the Objective: Define your goal to make a strategic decision. Identify what you want to accomplish. Having a clear objective enables you to develop a strategic plan.Define Strategies: Establish strategies for achieving your objectives. These strategies should be specific and should align with your objectives. Develop an Action Plan: Develop an action plan that outlines the steps necessary to implement the strategies. This plan should also include who will be responsible for each action.Monitor Progress: Check to see if the strategies and action plan are working as intended. Tracking progress will allow you to identify issues and adapt your strategy as needed.Adjust the Strategy: If the current strategy is not working, change it. Developing a successful strategic decision necessitates flexibility and the ability to adapt to changing situations.The above steps will ensure success in strategic decision-making.
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Which of the following is not a negative effect of regional trade agreements?
A. political cooperation
B. employment shifts
C. trade diversion
D. loss of national sovereignty
E. cultural homogenization
The proper main answer statement is A. Political cooperation. Political cooperation is not considered a negative effect of regional trade agreements. Regional trade agreements are agreements between countries in a specific geographic region to reduce trade barriers and promote economic integration.
Regional trade agreements (RTAs) are agreements between two or more countries in a specific geographic region to promote economic integration and facilitate trade among the member countries. While regional trade agreements can have various effects, including both positive and negative, political cooperation is generally considered a positive effect of RTAs.
The negative effects of regional trade agreements can include employment shifts (B), trade diversion (C), loss of national sovereignty (D), and cultural homogenization (E). Employment shifts can occur when industries in certain countries are negatively impacted by increased competition from other member countries.
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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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The intended audience for the memo is___________.The tone of the memo should be________.Finally, the purpose of the memo is____________________________.
The intended audience for the memo is all company employees. The tone of the memo should be formal. Finally, the purpose of the memo is to make sure employees understand and follow the updated dress code.
Jackson's Outdoor Adventure Company bought 2,500 USD of office supplies at the beginning of February. At the end of the month, the accountant checked the supply room and counted 1,000 USD of office supplies remaining. What adjusting journal entry is the accountant going to record at the end of February related to office supplies
The accountant will record an adjusting journal entry crediting Supplies Expense for 1,500 USD and debiting Supplies for 1,500 USD.
At the end of February, Jackson's Outdoor Adventure Company's accountant needs to make an adjusting journal entry related to office supplies. Initially, the company bought 2,500 USD worth of office supplies, and by the end of the month, there were 1,000 USD of supplies remaining. This means that the company used up 1,500 USD of office supplies during February. To record this in the journal, the accountant will debit the Supplies account for 1,500 USD, representing a decrease in the asset. Simultaneously, they will credit the Supplies Expense account for 1,500 USD, representing the cost of supplies used during the month. This adjusting journal entry accurately reflects the consumption of office supplies in the company's financial records.
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superbrite is a brand of toothpaste. in its earlier campaign, superbrite was advertised as an effective whitening toothpaste. however, due to declining sales, its parent company has decided to rethink its marketing strategy. in its new campaign, superbrite is still portrayed as whitening toothpaste, but it also features a research study where other familiar brands in the market fail to make the grade. in this campaign, superbrite has tried to reposition multiple choice its application. the target market. the competition. its price. its attributes.
In this campaign, superbrite has tried to reposition, in this campaign, superbrite has tried to reposition the competition. Option C
This is further explained below.
What is the competition?Generally, A rivalry may be defined as a situation in which two or more parties struggle for a single objective that cannot be shared. In this scenario, the success of one party results in the failure of another.
Entities as diverse as biology, persons, economic and social organizations, and others may engage in competitive interactions with one another.
In conclusion, Within the context of this strategy, not only has Superbrite attempted to reposition itself, but they have also attempted to reposition its rivals. Alternative C
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Why is the law of diminishing marginal returns important?
The law of diminishing marginal returns is an economic principle that states that as more units of a factor of production (such as labor or capital) are added to a fixed amount of another factor of production (such as land or machinery), the resulting increase in output will eventually decrease.
This principle is important for several reasons. Firstly, it helps to explain why increasing the amount of inputs used in production may not always lead to proportionally higher outputs. It also highlights the importance of considering the optimal use of resources, as adding more inputs may not always be the most efficient way to increase production.
In addition, the law of diminishing marginal returns helps to explain why businesses may face increasing costs as they expand. This is because as they add more inputs to their production process, they may find that the additional output generated by each additional input becomes smaller and smaller, requiring even more inputs to achieve the same level of output.
Furthermore, the law of diminishing marginal returns is also important in the context of macroeconomics, as it helps to explain why economic growth may slow down as a country becomes more developed. This is because as a country's economy becomes more advanced, it may become increasingly difficult for it to continue to generate large increases in output by simply adding more inputs.
In summary, the law of diminishing marginal returns is an important economic principle that highlights the limitations of using increasing inputs to generate increasing outputs, and it's important for understanding the economic efficiency, cost and growth.
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in general, why is it more expensive for a company to finance with equity capital than with debt capital?
Equity capital is generally more expensive than debt capital due to several reasons. These reasons include: Equity capital involves more risk than debt capital. Debt capital is borrowed money, and the lender expects to be repaid with interest. On the other hand, equity capital involves taking on investors who own a portion of the company.
Investors in equity capital expect to receive a return on their investment in the form of dividends and/or an increase in the value of their shares. Equity investors bear the risk of losing their investment if the company doesn't perform well. There is no fixed repayment schedule for equity capital.
Debt capital has a fixed repayment schedule. Equity capital, on the other hand, is considered an indefinite investment. Investors in equity capital expect to be compensated through returns on their investment, but they do not have a fixed repayment schedule. This means that if the company becomes profitable, it may have to share its earnings with equity investors for an indefinite period of time. This makes equity capital more expensive than debt capital. Equity capital comes with more strings attached than debt capital.
Equity investors usually expect some degree of control over the company's decision-making process. They may require a say in the company's strategy, management, or other aspects of its operation. This can be a costly expense for the company since it means giving up some control over its business to equity investors. These factors make equity capital more expensive than debt capital. However, there are also benefits to equity financing, such as not having to make interest payments or repay the principal amount borrowed.
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Read the following scenario, and then answer the question below.
A new pet supply company plans to primarily sell products in stores. They need a system that will track their large
inventory and keep customer sales records.
Which evaluation factor will be most important when choosing technology for the company?
1)speed
2)size
3)storage
4)connectivity
The correct answer is 3) storage
Explanation:
In technology, storage refers to the amount of information a system, program, or similar can record and save. This factor is especially important when businesses or companies need to keep a lot of information from sales, inventory, and similar. This occurs in the case of the pet supply company because it is explained they need a technological system to "track their large inventory and keep customer sales records", therefore their priority will be to record and save their information or the storage in the system.
Answer:
c
Explanation:
c
In the portfolio matrix, characteristics of goods and services in the leverage quadrant are:Multiple Choicecompetitive supply market, substitution is possible, total cost is a primary focuspetitive supply market, substitution is possible, price per unit is important.item substitution is possible, switching is difficult, many suppliers are available.item substitution and supplier switching are possible, but few suppliers are capable.few suppliers with adequate capability so substitution and switching are difficult.
Answer:
Competitive supply market, substitution is possible, price per unit is important.
Explanation:
A portfolio variance is used to determine the overall risk or dispersion of returns of a portfolio and it is the square of the standard deviation associated with the particular portfolio.
The portfolio variance is given by the equation;
\(Variance = w^{2}_{1} d^{2}_{1} + w^{2}_{2} d^{2}_{2}+2w_{1}w_{2}C_{OV_{1, 2}}\)
Where;
\(w_{n}\) = the weight of the nth security.
\(d^{2}_{n}\) = the variance of the nth security.
\(C_{OV_{1, 2}}\) = the covariance of the two security.
In the portfolio matrix, characteristics of goods and services in the leverage quadrant are competitive supply market, substitution is possible, price per unit is important. Thus, the leverage quadrant represents a significant part of expenditures and are really important for a business.
True or False: The change in equilibrium output is smaller when the government implements the fixed tax cut.
The given statement " The change in equilibrium output is smaller when the government implements the fixed tax cut." can be true or false, depending on the size of the multiplier effect.
True. A fixed tax cut shifts the aggregate demand curve to the right, which in turn results in a smaller change in equilibrium output.
False. The change in equilibrium output is larger when the government implements a fixed tax cut. This is because a fixed tax cut increases the disposable income of consumers, leading to an increase in consumption and aggregate demand. This increase in aggregate demand shifts the aggregate demand curve to the right, resulting in a larger change in equilibrium output.
Therefore, the statement "The change in equilibrium output is smaller when the government implements a fixed tax cut" could be true or false, depending on the size of the multiplier effect. However, it is essential to note that government policies, such as tax cuts, can have unintended consequences, such as increasing the budget deficit or reducing the government's ability to fund essential programs. Therefore, it is crucial for the government to carefully consider the impact of such policies on the economy and society as a whole.
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Please explain to me what interest rate is please im super confused :)
Answer: An interest rate is the percentage of principal charged by the lender for the use of its money. The principal is the amount of money loaned. Interest rates affect the cost of loans. ... The Federal Reserve manages interest rates to achieve ideal economic growth.
Explanation:
Jacobsen Corporation prepares its financial statements applying U.S. GAAP. In its 2018 income statement, Jacobsen would report income from continuing operations of
Available Options Are:
Jacobson Corporation prepares its financial statement applying US GAAP. During its 2018 fiscal year, the company reported income from continuing operations before tax of $620,000. This amount does not include the following item, which is considered to be material in amount:
Unusual gain of $200,000
Loss on discontinued operations ($300,000)
The company's income tax rate is 40%. In its 2018 income statement.
Jacobson would report income from continuing operations (after tax) of:
A. $312,000.
B. $372,000.
C. $492,000.
D. $620,000.
Answer:
Option C. $492,000
Explanation:
The Total Operating Income is:
Operating Income From Continuing Operation $620,000
Unusual Gain $200,000
Total Income $820,000
The unusual gain will be included in the operating income as it is related to operating income.
The net income from continuing operation will be net of tax which means that:
Net Income after tax = $820,000 * (1 - 40%) = $492,000
suppose you are told that the short run phillips curve has shifted downward. which fo the following must have happened?A) The SRAS curve has shifted to the left B) The SRAS curve has shifted to the right C) The AD curve has shifted to the left D) The AD curve has shifted to the right E) The LRAS curve has shifted to the right
When the Short run Phillips curve has shifted downward, it suggests that the SRAS (Short run aggregate supply) curve has shifted to the left. Thus, the correct answer is option A.
According to the Phillips curve, unemployment and inflation have a steady inverse connection. According to William Phillips' theory, inflation follows the economic expansion and should result in more jobs and lower unemployment.
The Phillips curve's underlying theory contends that changes in unemployment within an economy have a predictable impact on inflation of prices. The inverse link between inflation and unemployment is represented as a concave, downward-sloping curve, with unemployment on the X-axis and inflation on the Y-axis.
Therefore, option A is the correct answer.
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what are examples of demographic forces that can affect an industry? (choose every correct answer.) multiple select question. an increase in interest rates a rise in church attendance a decline in population size a decrease in global sales a decrease in marriage rates
There are examples of demographic forces that can affect an industry are:
A rise in church attendance.A decrease in marriage rates.A decline in population size. Thus, option (b), (c) and (d) is correct. What is industry?The term industry refers to the factory are the manufacturing of the product. The production of the goods making. The process of the raw material are the converted into the finished goods. The labour are the performing the work.
According to the demographic forces that can affect an industry are the main reason is decrease in marriage rates, rise in church attendance, and the decline of the population size.
As a result, the significance of the industry are the aforementioned.
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Sydnee would like a chart to appear once in her report, but she is having trouble making this occur. She does not understand why the chart is showing multiple times in the report. What is most likely causing the problem?
The chart is placed in the header and footer of a database.
The chart is placed in the field of a database.
The chart is placed in a database with one group.
The chart is placed in a database with five groups.
Answer:
The chart is placed in a database with five groups.
Hope this helped.
Which of the following are characteristics of a scarce resource?
Choose 1 answer:
Choose 1 answer:
(Choice A)
A
The supply of the resource exceeds the demand of the resource.
(Choice B)
B
There is a fixed quantity of the resource available but no demand for it.
(Choice C)
C
There is a demand for that resource with limited supply.
(Choice D)
D
There is limited supply of a resource with no demand for that resource.
(Choice E)
E
The resource has unlimited supply and limited demand.
There is a demand for that resource with limited supply are characteristics of a scarce resource. When the demand for a natural resource exceeds the supply, resource scarcity results, which causes the stock of those resources to decrease.
As a result of rising costs that make the demand resource less accessible to those who are least well-off, this might result in unsustainable supply growth and an increase in inequality. When there aren't enough resources to meet everyone's needs, there is scarce resource. Oil is among the most well-known instances of how resource scarcity affects the United States. Local gas prices will surely climb when oil prices around the world do.
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Free competition
What type of economy it is
Answer:
Mixed Economy = USA
Explanation:
WHAT DOESS COMPOSITION MEAN
Answer:
the nature of something's ingredients or constituents; the way in which a whole or mixture is made up.
Explanation:
What should you do in the following scenario?
You are meeting with a colleague and within the conversation, the colleague talks about going to dinner with a client, holding hands, and seems to indicate he is thinking of pursuing a relationship.
Answer:
it seems kind of inappropriate to have a relationship with a client
Explanation:
ACTIVITY 1
Multiple Choice: Choose the letter of the correct answer
1 It is all about discovering and satisfying your customers' needs and want while earning
a profit
A Marketing
B. Product C Promotion D Needs
2. These are the bundles of attributes and benefits designed to be offered to buyers to
satisfy their needs, wants, and demands
A Promotion B Products C Customer D Market
3 Making sure that they are specific and quantifiable so you can measure your progress
toward achieving them, belong to what step of marketing?
A Marketing objective B Identifying demographics C Defining place
4. What steps of marketing plan where you're referring to the entire set of activities that
inform people about your product/service?
A Marketing objective
B Choose your promotion strategy
C Develop a pricing strategy
5 Defined as the difference between what the customer gains from the product and what
the customers losses from the costs acquiring such a product
A Market
B Customer Value C Promotion
Answer:
A. Marketing.B. Products.A. Marketing objectiveB. Choose your promotion strategyB. Customer Value.Explanation:
Marketing is all about knowing what the customer wants and satisfying it by offering the relevant products.
Products are simply bundles of benefits that were designed to be able to satisfy the needs and wants of customers.
The marketing objectives specify what the goals need to be achieved when marketing so comparing reality against them helps show progress.
The promotion strategy shows the activities that will be undertaken during the marketing of your goods and services.
Finally, the customer value from a product is simply what benefit the customer received less the cost of receiving that benefit.
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Answer:
lalalaallalalaaaaaaa
Explanation:
Answer:
KLLJHHHHHHHHHHHHHHHHHHHHHHHHHHHHHHHHHHHHHHHHHHHHHHHHHHHHHHHHHHOPE THIS HELPS ......
Mission Corp. borrowed $50,000 cash on April 1, 2019, and signed a one-year 12%, interest-bearing note payable. The interest and principal are both due on March 31, 2020.Assume that no adjusting entries had been made before December 31, 2019. Which of the following would be the required adjusting entry on December 31, 2019?A)Interest Expense. xxxCash yyyB)Interest Expense xxxInterest payable xxxNotes Payable yyyC)Interest Expense xxxInterest payable yyyNotes Payable yyyD)Interest Expense. xxxInterest Payable. yyy
The required adjusting entry on December 31, 2019, would be Interest Expense xxx and Interest Payable xxx. Therefore, the correct option is B.
The reasoning behind this is that Mission Corp. needs to recognize the interest expense incurred for the period from April 1, 2019, to December 31, 2019. Since the interest and principal are both due on March 31, 2020, the company should record the interest expense as an adjusting entry and create an interest payable account to reflect the liability.
To calculate the interest expense for the 9-month period, you can use the formula:
Interest Expense = Principal x Interest Rate x Time
Interest Expense = $50,000 x 12% x (9/12)
Interest Expense = $4,500
So, the adjusting entry on December 31, 2019, would be:
Interest Expense $4,500
Interest Payable $4,500
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Explain the risks of a multinational company which expands
internationally? Should be more than one page and avoid
plagiarism.
When multinational firms go beyond their domestic boundaries and expand into foreign markets, they confront a variety of risks. Political risks, exchange-rate risks, and country risks are among the risks that multinationals face when they expand internationally.
Multinationals confront risks, regardless of their size, in their expansion to international markets. The following are the risks that multinationals confront when they expand internationally:Political risksPolitical risks are a significant concern for multinationals because they relate to government activities in foreign nations. Political risks can take various forms, including laws, regulations, and public opinion. Governments in foreign countries may enact laws and regulations that restrict or prohibit foreign businesses' operations. Governments may also seize control of a firm's assets, as well as enforce arbitrary legal judgements..
Exchange rate risksExchange-rate risk is another important risk that multinationals confront when they expand globally. Exchange-rate risk is the potential of a multinational firm's profits being harmed as a result of currency fluctuations. Multinationals may suffer losses due to a currency's fluctuation in value because they engage in international trade. Multinational corporations may hedge their currency risks by using forward contracts, currency options, and currency swaps, among other techniques, to reduce their risks.Country risksCountry risk refers to the possibility that a foreign country's economic, social, and political situation will deteriorate and cause losses for multinational corporations. Country risk is a significant consideration for multinationals that operate in foreign countries.
Multinational corporations confront risks ranging from asset seizures to the nationalization of their business operations in response to deteriorating conditions. Multinationals should also be aware of their counterparties in these foreign markets and be cautious about engaging with them. Contractual disputes, such as differences in legal jurisdictions and contract breaches, are more difficult to resolve when dealing with foreign companies. ConclusionMultinational firms confront numerous risks when they expand globally. These risks may include political risks, exchange-rate risks, and country risks, among others. Political risks relate to the activities of governments in foreign nations. Exchange-rate risk refers to the possibility of a multinational firm's profits being harmed as a result of currency fluctuations. Country risk refers to the possibility that a foreign country's economic, social, and political situation will deteriorate and cause losses for multinational corporations. Multinational corporations may hedge their currency risks by using forward contracts, currency options, and currency swaps, among other techniques, to reduce their risks.
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Which of the following is true about
your "gross" pay?
A. It is the money you make before taxes.
B. It is the money you take home after taxes are taken
out..
C. It is the amount of money you pay in social security
tax.
D. It is the amount of money you pay in federal tax.
answered
Sita and Zoya are two friends
belonging to Hindu and Muslim
religion. They start a
business of handicrafts together. They decide to
open the factory in rural area and give
employment opportunities to local residents.
a) Which form of business organisation have they
opted?
1 SEE ANSWER
They have chosen the partnership business structure:
Describe a partnership:In a partnership, parties who are referred to as business partners agree to work together to further their shared objectives. Individuals, companies, interest-based organizations, schools, governments, or combinations of these may be the partners in a partnership.
What is a partnership and what are its benefits?If there are less than 20 people involved and restricted liability is not required, think about forming a partnership. One benefit of a cooperation is that: Two or more heads are preferable to one. Your company is simple to launch and has modest startup expenses. The business has access to extra funding.
Briefing:In small- and medium-sized businesses, partnerships are a common type of company structure. One individual is unable to manage the growing scale of the company on their own. Therefore, a partnership between two or more people is formed to conduct business. The issue with sole proprietorships is beginning to be solved by this type of firm.
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Skills that a person should be able to perform in a variety of vocational settings, including sport organizations, are called
a. transferable skills
b. functional skills
c. quantitative skills
d. qualitative skills
Transferable skills are the skills that a person can apply and utilize across different vocational settings, including sport organizations. These skills are not specific to a particular job or industry but can be transferred and adapted to various contexts and roles. So, the correct option is a.
Transferable skills are often considered valuable in the job market as they demonstrate a person's versatility, adaptability, and ability to contribute effectively in different work environments. Examples of transferable skills that are relevant in sport organizations and other vocational settings may include:
1. Communication: Effective verbal and written communication skills are crucial in conveying information, collaborating with team members, and interacting with clients or stakeholders.
2. Leadership: The ability to lead and motivate others, make decisions, and take initiative is important in various vocational settings, including sport organizations where teamwork and supervision are essential.
3. Problem-solving: Critical thinking, analytical skills, and the ability to find solutions to challenges are valuable in navigating complex situations and making informed decisions.
4. Time management: Efficiently managing tasks, prioritizing workloads, and meeting deadlines are transferable skills that contribute to productivity and success in different vocational settings.
By possessing transferable skills, individuals can adapt to different roles, industries, and work environments, allowing them to thrive in various vocational settings, including sport organizations.
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$34,100 at 4%for 3 years
Answer: $4,092
Explaination - .04 times 34,100 then multiply by 3
please help, easy multiple choice question
whoops meant to put it in art
Answer: The answer that is correct is the last one, which is shape.
I hope this helped!
You invest $100 in stocks and sell them one year later for $115. Use the instructions in Lesson 3 to calculate the ROI dollar amount and percentage. (2.0 points) TIP: Subtract the initial investment from the total return to get the ROI dollar amount. Then divide the ROI dollar amount by the initial investment, and multiply that number by 100 to get the percentage.
Answer:
ROI in dollar amount = $15
ROI in percentage = 15%
Explanation:
Given:
Initial investment = $100
Sale value = $115
Find:
ROI in dollar amount
ROI in percentage
Computation:
⇒ ROI in dollar amount = Sale value - Initial investment
ROI in dollar amount = $115 - $100
ROI in dollar amount = $15
⇒ ROI in percentage = [ROI in dollar amount / Initial investment]100
ROI in percentage = [$15 / $100]100
ROI in percentage = 15%
Answer:
15%
Explanation: