False. So the return on investment is 0.15, which is not equal to 15%.
The ROI is used to evaluate the profitability of different investments, such as stocks, bonds, real estate, or other types of projects. A higher ROI indicates that an investment is more profitable, while a lower ROI indicates that an investment is less profitable.
The ROI can be used to compare different investments and to evaluate the performance of a company's investments over time. It is an important metric for investors, managers, and business owners to consider when making investment decisions.
However, it is important to note that the ROI does not take into account all factors that can affect the profitability of an investment, such as the time value of money, risk, and other factors. Therefore, the ROI should be considered in conjunction with other financial metrics and analysis to make informed investment decisions.
To calculate the return on investment (ROI), we need to divide the yearly operating income by the invested assets. In this case, the return on investment would be:
ROI = 30,000/200,000
= 0.15
So the return on investment is 0.15, which is not equal to 15%.
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You should induce vomiting in a child you suspect has been poisoned ONLY when
you have been instructed to do so by the poison center expert.
True
O False
Answer:
The correct answer is the option: False.
Explanation:
To begin with, when it comes to terms of helping someone and moreover saving someone's live it is absolutely necessary to always act in order to make sure that everything that was possible to do was done, so therefore that it is understandable that in a case where a child has been poisoned with something then the person closer must know that he could induce vomiting by putting the finger into the throat, gently, so that the body will automatically try to throw up. Otherwise if the person might have not been instructed by the poison center expert and the kid is posible to pass out then the situation can get worse if the person does not do something.
whats a good website to create an anime blog
Best Blogging Sites: WordPress.org for complete control. WordPress.com makes it easy to get started. Ghost as a WordPress alternative. Wix makes it easy to create multiple blogs.
Blogger can use its own domain for free. Examples of blog posts include beauty product recommendations, travel and vacation reviews, and personal blog posts. Where does most of the money for cartoonists come from? Royalty payments for collected volumes or tank subscriptions are the biggest part of a cartoonist's money. In 2009, the average cartoonist (comics not published in jumps or magazines) paid for his It was estimated that he earned 2.8 million yen in royalties.
Anime animators are professionals who create specific genres of Japanese manga. Draw pictures by hand and use computer software to transform them into digital animations.
The possibilities for blogging are virtually endless. Adam Enfroy, who started blogging about blogging as a side business in 2019, just two years later made his $1.5 million from the blog.
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Answer:
Red-dit and In-stagram.
Don’t ask me why I have years of experience.
(`_>´)ゞ
What three factors that had a negative impact on the financial performances of unibic in its early years?
Answer:
Price of unibic, preference for other glucose biscuits, and inadequate marketing and branding campaigns had a negative impact on the financial performances of unibic in its early years
Explanation:
The three factors that negatively impacted the financial performances of unibic in its early years were as follows
a) The price of Unibic cookies was higher as compare to its other competitors.
b) During those days, glucose biscuits were preferred as compared to bakery cookies of Unibic
c) Packaging, branding and marketing not as per the public requirement
Determine the total annual FICA tax for an annual salary of $110,330. Use $106,800 for maximum taxable earnings. A. $822. 14 b. $844. 02 c. $8,221. 39 d. $8,440. 24
Based on the information given the total annual FICA tax for an annual salary is: c. $8,221.39.
FICA tax comprises of Social security tax and Medicare tax
Where:
Social security tax=6.2%
Medicare tax=1.45%
To determine the total annual FICA tax the social security tax of 6.2% will be taxed on maximum taxable earnings while the Medicare tax of 1.45% will be taxed on the annual salary.
Hence:
Social security tax=6.2%×$106,800
Social security tax=$6,621.6
Medicare tax=1.45%×$110,330
Medicare tax=$1,599.785
Total annual FICA tax=$6,621.6+$1,599.785
Total annual FICA tax=$8,221.385
Total annual FICA tax=$8,221.39 (Approximately)
Inconclusion the total annual FICA tax for an annual salary is: c. $8,221.39.
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In the cpi, goods and services are weighted according to.
Answer:
A consumer price index (CPI) is usually calculated as a weighted average of the price change of the goods and services covered by the index.
Explanation:
The weights are meant to reflect the relative importance of the goods and services measured by their shares in total consumption of household.
a leverage ratio is any one of several financial measurements that look at how much capital a firm holds in relation to its total assets. for our purposes we define the bank's leverage ratio as equity capital divided by total assets\.\* go to the st. louis federal reserve fred database, and find data on assets less liabilities, i.e. bank capital (ralacbm027sbog), and total assets of commercial banks(tlaacbm027sbog). starting in january 1973 until december 2021, using the fred graphing tool, calculate the bank leverage ratio and create a line graph of the leverage ratio over this sample (include the graph you created with your submission). given the path of bank leverage over time, what can you conclude about moral hazard in the banking system over the time period considered?
The definition of the leverage ratio can vary, and in some contexts, the inverse of this ratio is also called a leverage ratio.
To answer your question about the leverage ratio and moral hazard in commercial banks over time, we first need to follow these steps:
1. Go to the St. Louis Federal Reserve FRED database.
2. Search for and find data on assets less liabilities, i.e. bank capital (RALACBM027SBOG), and total assets of commercial banks (TLAACBM027SBOG).
3. Set the date range to start from January 1995.
4. For each monthly observation, calculate the bank leverage ratio by dividing equity capital (RALACBM027SBOG) by total assets (TLAACBM027SBOG).
5. Create a line graph of the leverage ratio over time using the FRED database's graphing tools.
Once the graph is created, you can analyze it to draw conclusions about leverage and moral hazard in commercial banks during the considered time frame.
If the leverage ratio has decreased over time, it may indicate that banks are relying more on borrowed funds to finance their operations, which can increase the risk of moral hazard.
On the other hand, if the leverage ratio has increased over time, it may suggest that banks are becoming more conservative in their use of leverage, potentially reducing moral hazard risks.
Keep in mind that the definition of the leverage ratio can vary, and in some contexts, the inverse of this ratio is also called a leverage ratio.
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Complete question:
A leverage ratio is any one of several financial measurements that look at how much capital a firm holds in relation to its total assets. For our purposes we define the bank's leverage ratio as equity capital divided by total assets.*
Go to the St. Louis Federal Reserve FRED database, and find data on assets less liabilities, i.e. bank capital (RALACBM027SBOG), and total assets of commercial banks(TLAACBM027SBOG). Starting in January 1995, for each monthly observation, calculate the bank leverage ratio. Create a line graph of the leverage ratio over time. (All of this can be done on their web site, spend the time and learn how.) All else being equal, what can you conclude about leverage and moral hazard in commercial banks over the time considered? *
- Just to show how nebulous the definition of the leverage ratio, the inverse of this ratio is also called a leverage ratio in other contexts.
What are factors that impact the amount someone may pay in taxes? * 1 point
How do manufacturers benefit from coupons?
Answer:
Key Takeaways. Manufacturers and stores benefit from the coupons they offer to consumers. ... Offering coupons is a way to market products and engage consumers. Coupons can entice customers to build loyalty with a specific company or product.
Answer:
★ They promote discounts from participating into businesses directly to consumers
Explanation:
Hope you have a great day :)
All of the following are private businesses that collect and publish financial information on similar businesses and industries EXCEPT
a. Standard and Poor's.
O b. the National Federation of Independent Business.
c. Dun and Bradstreet.
d. Value Line.
The National Federation of Independent Business (NFIB) is not a private business that collects and publishes financial information on similar businesses and industries. Option B
Instead, NFIB is a nonprofit organization that provides advocacy, education, and networking opportunities for small businesses in the United States.
Standard and Poor's (S&P) is a leading provider of financial market intelligence, including credit ratings, indices, and analytics. S&P provides independent research, ratings, and benchmarking tools that help investors make informed decisions about investments.
Dun and Bradstreet (D&B) is another leading provider of business intelligence, providing data analytics, credit reporting, and other risk management solutions. D&B collects and analyzes data on millions of businesses worldwide to provide insights into market trends, financial performance, and other business metrics.
Value Line is an independent investment research firm that provides in-depth analysis and commentary on individual stocks, mutual funds, and other investments. Value Line's research tools and reports are widely used by investors and financial advisors to help them make informed investment decisions.
Overall, all of these private businesses are essential sources of financial information and analysis for investors, business owners, and other stakeholders. While NFIB does not provide financial data, its advocacy and education programs are critical for small businesses, which are an important driver of economic growth and job creation. Option B
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4. Tim moves to a different state and buys a house in his new city. His new house is bigger than the apartment he lived in before, so he also buys new furniture. His property taxes are higher for his new house, but sales tax he pays on his new furniture is lower. Which of these taxes is progressive, and which are regressive? What is the difference between a progressive and a regressive tax? (8 points)
Answer:
Property tax is progressive
Sales Tax is regressive
A progressive tax is one that takes a higher proportion of revenue from high-income people than it does from low-income people. A regressive tax is one that takes a higher percentage of low-income people's income than it does from high-income people.
Explanation:
Jessica has brought in $10,000 of her personal funds to expand her business. How will it affect the accounting equation?
A. Assets ↑ (10,000) = Liabilities + Owners’ Equity ↑ (10,000)
B. Assets = Liabilities ↑ (10,000) + Owners’ Equity ↓ (10,000)
C. Assets ↑ (10,000) = Liabilities + Owners’ Equity ↓ (10,000)
D. Assets = Liabilities ↑ (10,000) + Owners’ Equity ↑ (10,000)
E. Assets↑ (10,000) = Liabilities ↑ (10,000) + Owners’ Equity
Answer:
A. Assets ↑ (10,000) = Liabilities + Owners’ Equity ↑ (10,000)
Explanation:
The funds brought in will increase the cash held by the business. Cash is an asset, meaning assets will increase by $10,000.
The $10,000 will be an additional capital contribution from Jessica. The business's capital will go up by $10,000. It means equity will increase by $10,000.
A decrease in the number of sellers in the market causes:.
Answer:
Monopolistic trade system that destroys family-owned business and further perpetuates big businesses like wal*mart, whole foods, and amazon.
Explanation:
But the capitalistic society we live in doesn't care about mom and pop stores or the individuals they sell to. They only want the most for the cheapest and don't care about who gets exploited in the process of delivering cheap goods to the consumers.
But you don't even want to hear that. You just want to get the answer correct on your homework by saying "A decrease in the number of sellers in the market causes the supply curve to shift making less supply available inherently bringing the prices of goods up"
_____ is a team behavior demonstrated by performing the tasks assigned to your team role.
Participating
Sharing
Respecting
Questioning
THE ANSWER IS PARTICIPATING
Organizations find they must continue to identify and develop innovative ways to _________ customer relationships to maintain a competitive advantage. a. Add value to b. Forecast errors in c. Track signals in d. Reduce big data in
To remain competitive, organizations must constantly identify and develop innovative ways to enhance customer relationships. The Correct option A
This means adding value to the customer experience by improving the quality of products or services, providing exceptional customer service, personalizing interactions, or offering unique and innovative solutions. Customer relationships are a key driver of long-term success and profitability, and organizations that fail to invest in them risk losing customers to their competitors.
By continuously identifying and developing new ways to add value to customer relationships, organizations can build brand loyalty, increase customer retention, and ultimately gain a competitive advantage in the market. This requires ongoing effort and investment, but it is essential for organizations that want to thrive in today's rapidly changing business environment.
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What are the production sharing contracts (PSC) and production
sharing agreements (PSA)?
Production sharing contracts (PSC) and production sharing agreements (PSA) are agreements commonly used in the oil and gas industry. These contracts are typically made between a government or state-owned entity and an oil company.
Under a PSC or PSA, the government grants the oil company the rights to explore, develop, and produce oil and gas reserves in a specified area or block. The oil company bears the financial risks and costs associated with exploration and production activities.
In return for their investment, the oil company is entitled to a share of the produced oil and gas. The terms of the contract determine the percentage of production that the company is entitled to, often referred to as the "profit oil" or "profit gas."
The remaining portion of the production, known as the "cost oil" or "cost gas," is used to recover the costs incurred by the oil company. The government also usually receives taxes, royalties, and other forms of fiscal payments as part of the agreement.
PSCs and PSAs vary in their terms and structures, and the specific details are negotiated between the government and the oil company. These contracts are designed to promote investment in oil and gas exploration and production while ensuring a fair distribution of profits between the parties involved.
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Retirement benefits are an example of
income.
Labor
rental
interest
Answer:
Labor income
Explanation:
edg
The income tax rate in a state is a flat 10 percent. Based on that rate, who has the higher tax burden?
Annual Income
Alex − $20,000
Beatrice − $190,000
Julio − $80,000
Roberta − $60,000
Answer:
Beatrice − $190,000
Explanation:
she has the most money and when she is taxed the most money will be taken away.
The income tax rate in a state is a flat 10 percent. Based on that rate, Beatrice has a higher tax burden. Thus the correct answer is C.
What is Tax?A tax is referred to a certain amount that is collected by the government of any country from its citizens which is later on used in the development process of the country including building hospitals, roads and maintaining transportation, and so on.
Here we need to tell the name of the person who has a higher tax burden with reference to the rate of tax with a flat ten percent. Beatrice will be considered as the person.
Beatrice owns an annual income of $190,000 which is higher than all available options so with the rate of interest of ten percent he is liable to pay more amount of tax.
Therefore, option C is appropriate.
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You find the following corporate bond quotes. To calculate the number of years until maturity, assume that it is currently January 15, 2016. The bonds have a par value of $2,000. Company (Ticker) Xenon, Inc. (XIC) Kenny Corp. (KCC) Williams Co. (WICO) Coupon 6.900 7.270 ?? Maturity Jan 15, 2035 Jan 15, 2034 Jan 15, 2041 Last Price 94.333 77 94.885 Last Yield ?? 5,44 7.14 EST $ Vol (000 's) 57.377 48.956 43,817 What price would you expect to pay for the Kenny Corp. bond?
You would expect to pay around $76.867 for the Kenny Corp. bond
Yield to maturity (YTM) is a measure of the total return expected from a bond, assuming the investor holds the bond until it matures. It is the internal rate of return of an investment in a bond if the investor holds the bond until maturity and receives all coupon payments and the return of the bond's face value.
To calculate the price of the Kenny Corp. bond, you need to know the coupon rate, the current yield, and the number of years until maturity. The coupon rate is 7.270, the maturity date is January 15, 2034, and the yield to maturity is 5.44%.
The bond price can be calculated using the formula:
Bond price = (Coupon rate / (1 + Yield to maturity)) * Par value / (1 + Yield to maturity)^(Number of years until maturity)
Where Coupon rate = 7.270, Par value = $2,000, Yield to maturity = 5.44%, and Number of years until maturity = (2034 - 2016) = 18 years.
Plugging in the values into the formula:
Bond price = \((7.270 / (1 + 0.0544)) * 2000 / (1 + 0.0544)^1^8\)
Bond price = $76.867
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On his marvel company team, sam wilson is "the motivator. " he’s always encouraging his teammates to work harder and try to perform better. Which of belbin’s team roles is sam enacting?.
Sam Wilson's Marvel Corporation team refers to him as "the motivator" since he consistently encourages his coworkers to put in more effort. Belbin team members play "shapers" duties. Sam is enacting.
What is Belbin's theory of team roles?The three action-oriented roles are shaper, implementer, and finisher; the three people-oriented roles are coordinator, teamworker, and resource investigator; and the three cerebral roles are plant, monitor, and evaluator. According to Belbin's theory, a team role is "a tendency to behave, contribute, and interrelate with others in a particular way."As our experience, functional position, and working environment evolve over time, so can our team roles.Although a total switch of duties is unusual, you can notice that team roles change your profile up or down.To learn more about Belbin's theory refer,
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What are the 3 functional areas of incident command?.
The three functional areas of incident command are Logistics, Planning, and Administration/Finance.
Incident commands and operations are primarily supported by three internal (within ICS) sections. Logistics, planning, management and finance. However, for large or complex incidents, the Incident Command may require additional support from entities outside the responsibility/authority of ICS.
What are the functional areas of the operations management system?ICS has established five functional areas for managing major incidents. Command, Operations, Planning, Logistics, Finance/Management. Strictly follow the span of control recommendations to avoid unnecessarily large organizational structures.
What are the main functions of Operations Center?ICS provides guidelines for organizing resources to respond to incidents (system description) and processes for managing the response in a series of phases (operational concept).
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Ivie Clarke has decided to launch a numbers game like Sudoku. She estimates her fixed costs to be £5,000. The variable costs are £1.20 per game. She intends to sell the games for £5.00 each. Ivie estimates she will sell 1,400 games a month. 7 (a) What is her total revenue if she sells 1,400 games? (1) (b) What are her total costs if she sells 1,400 games?(1) (c) How much profit does she make if she sells 1,400 games?(1) 8 How many games does she need to sell to cover her total costs?(1) 9 In fact the fixed costs of the business were actually £5,500. How much profit or loss would Ivie make if she sold 1,400 games. (2)
Her total revenue if she sells the 1,400 games of the numbers game is £7,000.
What is revenue?The average sales price is multiplied by the quantity of units sold to arrive at revenue, which represents the money generated by normal business operations. Net income must be deducted from the top line (or gross sales) figure in order to be calculated. In the salary summary, revenue and sales are synonymous. To determine how effectively a business collects unpaid debt, it is critical to review the cash flow summary. Cash accounting, in comparison, only records purchases as revenue when actual money changes hands. "Receipt" is the term used to describe money provided to a business. For receipts to show, income is not necessary. For instance, there will be a receipt but no income from a customer who pre-paid for a service or goods that were never delivered.
Ivie's total revenue if she sells the 1,400 games is:
Revenue = Price per game x Number of games sold
Revenue = £5.00 x 1,400
Revenue = £7,000
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32. Hardy Company purchased a computer for $6,000 on December 1 It is estimated that annual depreciation on the computer will be $1,200. If financial statements are to be prepared on December 31, the company should make the following adjusting entry Debit Depreciation Exponos, $1,200; Credit Accumulated Depreciation, $1.200 Debit Depreciation Expense, $100; Credit. Accumulated Depreciation, $100 Debit Depreciation Expense, $4,800; Credit Accumulated Depreciation, 54,800 d. Debit Nice Equipment, $6,000: Credit Accumulated Depreciation, $6,000 33. The net income (or loss) for the period Is found by computing the difference between the income statement credit column and the balance sheet credit column on the work sheet. b. Cannot be found on the worksheet is found by computing the difference between the income statement columns of the work sheet d Is found by computing the difference between the trial balance totals and the adjusted trial balance totals. c. 34. Under a perpetual inventory system, acquisition of merchandise for resale is debited to the a. Inventory account b Purchases account c. Supplies account d. Cost of Goods Sold account. 35. An adjusting entry a. Affects two balance sheet accounts. b. Affects two income statement accounts. с Affects a balance sheet account and an income statement account. d. Is always a compound entry,
The answer will be debit depreciation Expense 100 and credit accumulated depreciation 100.
The depreciation amount will be
200/12×1=100
b) Answer will be option C.
It will be found on income statement items.
c) Inventory Account will be the correct option.
d) Answer will be option C.
It will affect one income statement and one balance sheet item.
Depreciation is an accounting technique for spreading out the expense of a tangible item over the course of its useful life. How much of an asset's value has been consumed is shown through depreciation. It enables businesses to purchase assets over a predetermined length of time and generate income from those assets.
The initial cost of ownership is greatly lowered since businesses do not have to fully account for them in the year the assets are bought. A company's profitability can be significantly impacted by not accounting for depreciation. Long-term assets can also be depreciated by businesses for tax and accounting reasons.
Depreciation is comparable to amortization, which takes into account the increase in the value of intangible assets over time.
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Make a business plan with a :
Detail of Sale.
Name
Cost price of products
Selling price
Expected Profit
Target market
Capital
1How much is required??
2From where are you going to get it from
Marketing strategy
Products for sale
gggggggggggggggggggggggggggggggggggggggggggggggggggggggg
When people are looking for a job and the people who have jobs meet and negotiate salaries,it will happen in which market
When people are looking for a job and the people who have jobs meet and negotiate salaries, it will happen in Option A. Labor market.
In this market, potential workers offer their labor to employers in exchange for a wage or salary. In addition, employers also search for potential employees who can fill specific job positions and negotiate wages or salaries that are fair to both parties. The labor market is comprised of all the different types of jobs and industries within an economy, from unskilled to skilled, full-time to part-time, and seasonal to permanent jobs.
It’s crucial for employers and job seekers to consider market trends in wages, demand, and qualifications when negotiating salaries. Many factors can impact the labor market, including technology, competition, and shifts in the economy. Employers and job seekers must pay close attention to these trends and adjust their strategies to remain competitive in the labor market. The role of the government is also essential in the labor market.
The government sets labor laws, minimum wage rates, and work-hour regulations to ensure workers' protection and fair treatment. The labor market is crucial to the economy and affects people's lives on a significant scale. In conclusion, the labor market is the arena where job seekers and employers meet and negotiate salaries. Therefore, the correct option is A.
The question was incomplete, Find the full content below:
In which market do people who are looking for a job and those who have jobs meet and negotiate salaries?
a) Labor market
b) Financial market
c) Stock market
d) Housing market
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don is an attorney who supplied a list of potential clients to a new attorney, lori. this list aided in the success of lori's practice. lori was very pleased and decided to do something for don. in the current year, lori gives don a new car worth $40,000. lori was not obligated to give this gift to don, and she did not expect don to perform future services for the gift. how much income, if any, should don report from this transaction and why?
Don must disclose his $40K in income. Even though there was no obligation to make the payment, the courts are likely to see the car as a payment for goods or services because the present was given in a professional setting.
What is income?Income is an entity's ability to save and spend money during a given period of time, and it is typically expressed in monetary terms. Conceptually, income can be difficult to define, and there may be variations depending on the field. The phrase "income" often refers to the total sum of cash, assets, and other value transfers received over a predetermined period of time in return for goods or services. There isn't a single, accepted definition of income; instead, the term is defined in light of the context in which it is used. Income is the money a person or organisation receives in return for labour, the creation of a good or service, or the use of capital.To learn more about income, refer to:
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A urvey howed that the average commuter pend about 26 minute on a one-way doorto-door trip from home to work. In addition, 5% of commuter reported a one-way commute of more than one hour (Bureau of Tranportation Statitic webite,January 12, 2004)
This survey provides a snapshot of the average amount of time commuters spend on their daily trips to and from work.
It indicates that the majority of commuters spend approximately 26 minutes on their one-way trips, but that a small percentage of commuters have significantly longer commutes of more than one hour. This could be due to a variety of factors such as living in rural areas with limited public transportation options or living in an area with heavy traffic.
Surveys used to gather data ask a specific set of people about their beliefs, actions, or knowledge. In order to gather information about a service, product, or process, a survey is described as the act of looking at a process or questioning a predetermined sample of people.
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which of the following requires financial professionals to act in the best interest of the client at all times and to fully disclose any and all conflicts of interests?
The Fiduciary Duty is a legal obligation that requires financial professionals to act in the best interest of their clients at all times and to fully disclose any conflicts of interest.
A fiduciary duty is a legal obligation that requires professionals to act in the best interest of their clients and to disclose any conflicts of interests that may affect their clients' investments or financial decisions. This duty is established by law and is meant to ensure that financial professionals act with integrity and honesty in their dealings with clients.
The fiduciary duty is a fundamental principle that guides financial professionals in their work. It requires them to prioritize their clients' interests over their own, and to provide advice that is tailored to the specific needs and goals of each client. This duty applies to a wide range of financial professionals, including investment advisors, brokers, and financial planners.
In addition to the fiduciary duty, financial professionals are also subject to various regulations and ethical standards that govern their conduct. These regulations and standards are designed to protect clients from unethical behavior and to promote transparency and fairness in the financial industry.
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If my revenue is one million and my expenses are 1,386,000, what's my profit in percentage
The profit in percentage given the revenue and the expenses is -38.60%
What is the profit in percentage?Percentage is the fraction of a number expressed as a value out of 100. The sign that is used to represent percentage is %. In order to convert a number to percentage, multiply by 100.
Profit is the difference between revenue and expenses. Revenue is the total income earned by a company before any deductions are made. Expenses include all the cost incurred in running a business.
Profit = revenue - expenses
1,000,000 - 1,386,000 = -386,000
Profit in percentage = (profit / revenue) x 100
(-386,000 / 1,000,000) x 100 = -38.6%
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which of the following will increase the expected risk premium for a security, all else constant? i. an increase in the security's expected return ii. a decrease in the security's expected return iii. an increase in the risk-free rate iv. a decrease in the risk-free rate multiple choice i only iii only iv only i and iv only ii and iii only
An increase in the risk-free rate will increase the expected risk premium for a security, all else constant. The correct answer is iii only, which is option B.
The expected risk premium is the excess return that investors require for holding a risky asset instead of a risk-free asset. It is determined by subtracting the risk-free rate from the expected return of the risky asset. An increase in the risk-free rate will increase the expected return of risk-free assets, making them relatively more attractive to investors and increasing the required return on risky assets.
Changes in the expected return of the security (i and ii) would affect the risk premium directly, while changes in the risk-free rate (iii) and changes in the expected return on the market (not mentioned in the options) would affect the risk premium indirectly through their impact on the overall level of required returns for risky assets.
Therefore, the correct answer is iii only, which is option B.
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a financial plan is most influenced by
Answer: priorities and goals
Explanation: because
The financial plan is most influenced by priorities and goals Option(b) is correct.
What does Financial Plan means?Overall utilization, a financial plan is a complete assessment of a singular's ongoing compensation and future financial state by utilizing current known factors to foresee future pay, resource values and withdrawal plans.
In business, a financial plan can allude to the three essential financial assertions monetary record, pay explanation, and income proclamation) made inside a field-tested strategy. Financial estimate or financial plan can likewise allude to a yearly projection of pay and costs for an organization, division, or division.
A financial plan can likewise be an assessment of money needs and a choice on the most proficient method to raise the money, like through getting or giving extra offers in an organization A financial plan might contain forthcoming financial explanations, which are comparative, however unique, than a financial plan. Financial plans are the whole financial bookkeeping outline of an organization. Complete financial plans contain all periods and exchange types.
Therefore Option(b) is correct.
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