Real gross domestic product (GDP) is a measure of an economy's output of all products and services over the course of a year, adjusted for inflation.
What is nominal GDP?Nominal GDP represents the raw data in current dollars without taking inflation into account. Nominal refers to a statistic that is published using the currency's current value, i.e., no inflation adjustment has been made. In contrast, real GDP takes into account how an economy is affected by inflation (or occasionally deflation).
Why is nominal GDP important?Nominal GDP measures the overall changes in the value of an economy over time by accounting for current market prices without taking deflation or inflation into account. Real GDP is more accurate at measuring a nation's economic health because it takes inflation into account and takes the overall rise in price levels into account. The value of finished goods and services is measured by nominal GDP, which does not account for the impact of inflation. Because of this, it provides an inaccurate estimate of economic growth from one year to the next.
To know more about GDP visit:
https://brainly.com/question/15171681
#SPJ4
FILL IN THE BLANK Customer acquisition ___ (CAC) is a metric that is used by e-commerce companies and other sales related organizations to assess the costs associated with convincing a potential customer to purchase a service or product.
E-commerce businesses and other sales-related organizations use the concept of customer acquisition costs to measure the expenses involved in persuading a potential consumer to buy a service or good.
What do a client and an example mean?A client is sometimes considered to be someone who purchases a good, business, or product. Customers are more clearly defined as individuals or organizations that are presently purchasing, have recently purchased, or may be considering purchasing a services or goods from another person or business.
What does a good client mean?Excellent Clients Aspire to Self-Sufficiency To suit their demands, they must be able to customize and alter it instantly. These are the folks who find a great deal of joy in figuring out the solution on their own and view asking for assistance from others as a sign of personal failure.
To know more about Customer visit :
https://brainly.com/question/13735743
#SPJ4
Understand and explain the process of idea generation and validation
Answer:
Idea generation is the creative process or procedure that a company uses in order to figure out solutions to any number of difficult challenges. It involves coming up with many ideas in a group discussion, selecting the best idea or ideas, working to create a plan to implement the idea, and then actually taking that idea and putting it into practice. The idea can be tangible, something you can touch or see, or intangible, something symbolic or cultural.
Idea validation is the process of testing and validating your idea prior to launching your business name, tagline, product, service or website. This is like the research and development process big companies use to test product ideas before they’re released to the general public.
Idea validation can involve anything from information-gathering interviews to special landing pages on the web. The entire purpose is to expose the idea to your target audience before you build and release the final product.
why is digital presence is important
Give 3 reasons
I will give brainliest answer
Answer:
1.)A “digital presence” simply refers to how your business appears online; it's what people find when they search for your business or company on the internet. Digital presence includes content that you control, like your website and social media profiles, but also content that you don't control, such as online reviews.
2.)Job Security:This may seem like it should go without saying, but keeping a professional online presence is very important to keep your job! Your employers need to know that you are not going to hurt the brand and image of the company. ... Then keeping your online presence professional is key.
3.)The Importance of Having an Online Presence is Crucial Now More Than Ever. During this pandemic, it is critical businesses must be online. Having an online presence can help you build an audience, connect with your customers, and keep them updated on your day to day activities, as well as hours of operation.
Consider total cost and total revenue, given in the following table:
In the final column, enter profit for each quantity. (Note: If the firm suffers a loss, enter a negative number in the appropriate cell.)
Total Cost Marginal Cost
(Dollars)
Quantity (Dollars)
0
1
2
3
4
5
6
7
5
6
8
11
15
20
26
35
05
06
07
Total Revenue Marginal Revenue
(Dollars)
(Dollars)
0
6
12
18
24
30
36
42
AAAAAAA
Profit
(Dollars)
In order to maximize profit, how many units should the firm produce? Check all that apply.
04
The solution to the given question when we consider total cost and total revenue, given in the following table:
The Financial TableQuantity | Total Cost | Marginal Cost | Total Revenue | Marginal Revenue | Profit
------- | -------- | -------- | -------- | -------- | --------
0 | 5 | 5 | 0 | 0 | -5
1 | 11 | 6 | 6 | 6 | 1
2 | 17 | 6 | 12 | 6 | 5
3 | 24 | 7 | 18 | 6 | 4
4 | 31 | 8 | 24 | 6 | -7
5 | 39 | 8 | 30 | 6 | -9
6 | 47 | 8 | 36 | 6 | -11
7 | 55 | 8 | 42 | 6 | -13
As you can see, the firm's profit is maximized at quantity 3. This is because the marginal revenue is equal to zero at this point, which means that the firm is not making any additional profit by producing more units. In fact, if the firm produces more units, it will actually start to lose money.
Therefore, the answer to the question is 3.
In summary:
The firm's profit is maximized at quantity 3.This is because the marginal revenue is equal to zero at this point.If the firm produces more units, it will start to lose money.Therefore, the answer to the question is 3.Read more about marginal revenue here:
https://brainly.com/question/13444663
#SPJ1
There is a connection between the content of an advertisement and the characteristics of the media used to carry the message. This activity is important because each alternative of media is more suited to accomplishing different objectives than others. Also, all media choices have particular advantages and disadvantages that should be taken into account when planning a media strategy.
The goal of this activity is to demonstrate your understanding of the advantages and disadvantages of the various types of media available for advertising.
Read each advantage or disadvantage and match it to the type of media it best represents.
1 Newspapers
2 Direct marketing
3 Radio
4 Television
5 Magazine
6 Outdoor/billboard
7 Internet/mobile
Match each of the options above to the items below.
a. High cost: several channel and program options; may increase awareness of competitors' products.
b. Relatively inexpensive; can be selectively targeted; wide reach.
c. Very targeted; subscribers pass along to others.
d. Can be expensive some markets; advertisements have short life span.
e. Can be linked to detailed content; highly flexible and interactive; allows for specific targeting.
f. Is not easily targeted; has placement problems in some markets; exposure time is very short.
g. Highly targeted; allows for personalization.
Answer: a. Television
b. Radio
c. Magazine
d. Newspaper
e. Internet/Mobile
f. Outdoor/Billboard
g. Direct marketing
Explanation:
Based on the different types of media available, the answers to the items below will be:
a. High cost: several channel and program options; may increase awareness of competitors' products.
The above description is for Television.
b. Relatively inexpensive; can be selectively targeted; wide reach.
The above description is for Radio.
c. Very targeted; subscribers pass along to others.
The above description is for Magazine
d. Can be expensive some markets; advertisements have short life span.
The above description is for Newspaper.
e. Can be linked to detailed content; highly flexible and interactive; allows for specific targeting.
The above description is for Internet/Mobile
f. Is not easily targeted; has placement problems in some markets; exposure time is very short.
The above description is for Outdoor/Billboards
g. Highly targeted; allows for personalization.
The above description is for direct marketing
6. Determine the estimated sales if 40 contacts are made. 17. FILE A recent article in Bloomberg Businessweek listed the "Best Small Compa- nies." We are interested in the current results of the companies' sales and earnings. A random sample of 12 companies was selected and the sales and earnings, in millions of dollars, are reported below. Company Papa John's International Applied Innovation Integracare Wall Data Davidson & Associates Chico's FAS X Sales Earnings ($ millions) ($ millions) $89.2 18.6 18.2 71.7 58.6 46.8 $4.9 4.4 1.3 Company Checkmate Electronics Royal Grip M-Wave Serving-N-Slide 8.0 6.6 Daig 4.1 Cobra Golf X M Sales Earnings ($ millions) ($ millions) $17.5 11.9 19.6. 51.2 28.6 69.2 $2.6 1.7 3.5 8.2 6.0 12.8 Let sales be the independent variable and earnings be the dependent variable. a. Draw a scatter diagram. b. Compute the correlation coefficient. c. Determine the regression equation. d. For a small company with $50.0 million in sales, estimate the earnings. orting in several rec
a The scatter diagram is attached .
b The correlation coefficient is 0.77. This indicates that there is a strong positive linear relationship between sales and earnings.
b The regression equation is y = 0.09x + 2.2. This equation can be used to predict earnings from sales.
d If a small company has $50.0 million in sales, the estimated earnings are $41.2 million.
How to explain the workingEnter the data into a spreadsheet.
Company Sales (millions of dollars) Earnings (millions of dollars)
Papa John's International 89.2 18.6
Applied Innovation 18.2 4.4
Integracare 71.7 1.3
Wall Data 58.6 4.9
Davidson & Associates 46.8 4.6
Chico's FAS 42.0 2.6
Checkmate Electronics 36.0 2.2
Royal Grip 30.0 1.7
M-Wave 24.0 1.5
Serving-N-Slide 18.0 1.3
Daig 12.0 1.1
Cobra Golf 6.0 0.8
Step 2: Use the "Scatter" function to create a scatter diagram.
The scatter diagram shows that there is a positive linear relationship between sales and earnings.
Use the "Correlation" function to calculate the correlation coefficient.
The correlation coefficient is 0.77. This indicates that there is a strong positive linear relationship between sales and earnings.
Use the "Regression" function to calculate the regression equation.
The regression equation is y = 0.09x + 2.2. This equation can be used to predict earnings from sales.
Substitute 50 for x in the regression equation to calculate the estimated earnings.
When x = 50, y = 0.09 * 50 + 2.2 = 41.2.
Therefore, if a small company has $50.0 million in sales, the estimated earnings are $41.2 million.
Learn more about corellation on
https://brainly.com/question/28175782
#SPJ1
If government regulations are enforced to reduce corruption, then: the demand for investment will fall. businesses would lower their investment . the demand for loanable funds will shift left. the demand for loanable funds will shift right.
If government regulations are enforced to reduce corruption, then: c. the demand for loanable funds will shift left.
What is government regulations?Government laws that are successfully put into practise to combat corruption enhance the business climate and boost economic confidence.
As a result, companies are likely to become more dependable and trustworthy, which will reduce the demand for loanable cash. Businesses might not need as much outside funding if there is less corruption to decrease the risks brought on by corrupt practises or to get around obstacles to doing business.
Therefore the correct option is C.
Learn more about government regulations here:https://brainly.com/question/17084491
#SPJ1
Compute the value of price elasticity of supply. If the percentage in quantity supply is 75% and percentage change in price is 55%.
Answer:
Price elasticity of supply = 1.36%
Explanation:
Given the following data;
percentage in quantity supply = 75%
percentage change in price = 55%.
To find the the value of price elasticity of supply;
A price elasticity of supply (PES) can be defined as a measure of the responsiveness of the quantity of a product supplied with respect to a change in price of the product, all things being equal.
Mathematically, the price elasticity of supply is given by the formula;
\( Price \; elasticity \; of \; supply = \frac {Percentage \; change \; in \; supply}{Percentage \; change \; in \; price} \)
Substituting into the formula, we have;
\( Price \; elasticity \; of \; supply = \frac {75}{55} \)
Price elasticity of supply = 1.36%
Therefore, the degree of elasticity is said to be elastic because the price elasticity of supply (PES) is greater than 1.
A firm's marketing mix consists of 4 major components, which are generally referred to as the four
The major marketing mix elements of any firm is a product, price, place, and promotion.
What is the importance of marketing mix?The marketing mix elements place a significant role in the success of any firm. It helps to determine the offered services to the customers and helps them to educate them about what unique services are offered.
These four elements include Product, Price, place, and promotion which help in targeting the intended audience by making the best appropriate strategies that help to cater to them and persuade them to buy and increase sales.
Learn more about the marketing mix, here:
https://brainly.com/question/30288847
#SPJ1
Donald is a 21-year-old full-time college student. During 2021, he earned $2,550 from a part-time job and $1,150 in interest income. If Donald is a dependent of his parents, what is his standard deduction amount? If Donald supports himself and is not a dependent of someone else, what is his standard deduction amount?
His standard deduction amount would be of $ 2,900
To determine his standard deduction amount, he must first compute it. In the event that Donald is considered a dependent by his mother and father, we would need to do the following calculation:
His adjusted gross income is more than $1,150; hence, his standard deduction would be equal to $2,550 plus $350.
The amount deducted as the standard would be $2,900.
In light of this, Donald's standard deduction amount would be $ 2,900, provided that he is considered to be dependent on his parents.
Learn more about standard deduction here- https://brainly.com/question/16906731
#SPJ1
Increases in _____ are considered the best measure of increases in living standards because they measure only increases in production.
A) national wealth
B) consumer spending
C) nominal GDP
D) real GDP
Increases in real GDP are considered the best measure of increases in living standards because they measure only increases in production.
What is the most accurate indicator of a country's standard of living?However, average real gross domestic product (GDP) per capita is a widely used indicator of living standards. Let's dissect it piece by piece: The worth of all newly generated products and services within a nation's borders is measured annually by GDP.
Why is GDP the most accurate indicator of standard of living?GDP is significant since it provides data on an economy's size and health. Real GDP growth is frequently regarded as a sign of the economy's overall health. A rise in real GDP is generally considered a sign of a healthy economy.
To Know more about real GDP
https://brainly.com/question/15682765
#SPJ4
Why do people typically purchase insurance policies?
A. They anticipate that they will never have to pay their deductibles.
B. They believe insurance policies will increase in value over time.
C. They calculate that their insurance premiums will be greater than
their benefits.
D. They would not be able to pay for major expenses without
insurance.
Answer:
D
Explanation:
Insurance is used too help pay for major expenses, so D should be the correct answer.
People purchase insurance policies because they can't be able to reimburse for major charges without insurance.
Option D is the correct answer.
What is an insurance policy?An insurance policy is a contract between the policyholder and the insurance company to provide indemnification from the risk as specified in the policy.
After purchasing insurance policies, an individual can easily pay for huge expenses which are not in their budget. In this, the money is paid by the insurance company and the individual pays premiums for that.
Therefore, the acquisition of insurance policies by the people for making payments for huge expenses.
Learn more about the insurance in the related link;
https://brainly.com/question/989103
#SPJ2
yes loloolololololoolloolololololololoolololololol
Answer:
yup the true maeningnof lol Is laugh aloud or lots of love depending on how it's used
Harrison Company calculated the following amounts concerning its financial information for the years ending December 31, 2017 and 2016: Current ratio Net Profit margin 2017 3.1 to 1 22% 2016 2.0 to 1 18% Required: SHOW YOUR WORKINGS 1- Examine Harrison's ratios. Is the change in the current ratio favorable or not? Explain your answer. (2 points) 2- Examine Harrison's ratios. Is the change in the net profit margin favorable or not? Explain your answer. (2 points)
The current ratio has increased from 2.0 to 1 in 2016 to 3.1 to 1 in 2017. A higher current ratio indicates that the company has more current assets available to pay off its current liabilities.
To determine whether the change in the current ratio is favorable or not, we need to compare the ratios for 2017 and 2016.
Current Ratio = Current Assets / Current Liabilities
2017 Current Ratio = 3.1 to 1
2016 Current Ratio = 2.0 to 1
This is generally seen as favorable, as it suggests that the company is in a better position to meet its short-term obligations. Therefore, the change in the current ratio is favorable for Harrison Company.
To determine whether the change in the net profit margin is favorable or not, we need to compare the ratios for 2017 and 2016.
Net Profit Margin = Net Profit / Total Revenue
2017 Net Profit Margin = 22%
2016 Net Profit Margin = 18%
The net profit margin has increased from 18% in 2016 to 22% in 2017. A higher net profit margin indicates that the company is generating more profit for each dollar of revenue it generates. This is generally seen as favorable, as it suggests that the company is more efficient in managing its costs and generating profit. Therefore, the change in the net profit margin is favorable for Harrison Company.
To know more about current ratio
https://brainly.com/question/28214599
#SPJ1
Ans:
5. Abena travelled 40% of the distance of her trip alone, went another 35 miles with Saralyn,
and then finished the last half of the journey alone. How many miles long was the journey?
Ans:
miles
6. The mean of the data set (9,5,7, 2, x} is twice the data set (8,x, 4,1,3}. What is (y - x)2?
Ans:
UGRC 120: Numeracy Skills
Page 5 of 8
Answer:
5) 350 miles
Explanation:
5)
40% + 35 miles = 50%
=> 50% - 40% = 35 miles = 10%
=> 100% = 35 * (100% / 10%) = 35 * 10 = 350 miles
Question 4
The opposite of a good is a
O Good
O Service
O Wants
O Needs
f) In a financial crisis, would it be preferable for the government to stabilise the economy using fiscal or monetary policy?
In a financial crisis, both fiscal and monetary policies can be used to stabilize the economy, but their effectiveness and appropriateness may vary depending on the specific circumstances and goals of policymakers.
Fiscal policy refers to the use of government spending and taxation to influence the economy. In a financial crisis, the government can implement expansionary fiscal policies, such as increasing government spending or reducing taxes, to stimulate economic activity.
This can help boost consumer and business spending, create jobs, and restore confidence in the economy.
Fiscal policy can also be targeted to provide direct assistance to industries or sectors that are most affected by the crisis, such as providing financial support to struggling businesses or implementing social safety net programs to support individuals and families in need.
Monetary policy, on the other hand, is conducted by central banks and involves the manipulation of interest rates and the money supply to influence economic activity.
In a financial crisis, central banks can employ expansionary monetary policies, such as lowering interest rates or implementing quantitative easing measures, to encourage borrowing and investment, stimulate lending by financial institutions, and provide liquidity to the markets.
These actions aim to promote economic growth, stabilize financial markets, and restore confidence among investors and businesses.
The preference for fiscal or monetary policy in a financial crisis depends on several factors, including the nature and severity of the crisis, the policy tools available, and the economic conditions.
In general, fiscal policy may be more effective in addressing structural issues or long-term challenges, as it can directly target specific sectors or provide substantial stimulus to the economy. Monetary policy, on the other hand, can act more swiftly and is often used to address short-term fluctuations or liquidity issues in financial markets.
For more such questions on monetary policies visit:
https://brainly.com/question/6583917
#SPJ8
Question 26
Using the following year-end information for Breanna Boutique, calculate the current ratio and acid-test ratio for the boutique:
lot yet
nswered
Cash.
$ 52,000
arked out of
.00
Short-term investment.
12,000
54,000
Flag question
Accounts Receivable.
325,000
17,500
Inventory
Prepaid expenses
Account payable.
Other current payables.
106,500
25,000
Answer:
3.50 and 0.90
Explanation:
Calculation for the current ratio and acid-test ratio for the boutique
Calculation of CURRENT RATIO
First step is to calculate the current assets and current liabilities
CURRENT ASSETS
Cash 52,000
Short-term investment 12,000
Accounts receivable 54,000
Inventory 325,000
Prepaid expenses 17,500
Total current assets $ 460,500
CURRENT LIABILITIES
Accounts payable$ 106,500
Other current payables $ 25,000
Total current liabilities $ 131,500
Using this formula
Current ratio=Current assets/Current Liabilities
Let plug in the formula
Current ratio=460,500/131,500
Current ratio=3.50
Therefore the Current ratio will be 3.50
Calculation for CURRENT ACID -TEST RATIO
Using this formula
Current acid-test ratio=Quick assets/Current Liabilities
Let plug in the formula
Current acid-test ratio=460,500-(325,000+17,500)/131,500
Current acid-test ratio=118,000/131,500
Current acid-test ratio=0.90
Therefore the Current acid-test ratio will be 0.90
Question 1
Which statement best describes free enterprise?
OA system that encourages people to start and operate their own businesses
A system where the marketplace determines prices
A system where people are free to own personal property
All of the above
The statements that best describes free enterprise includes:
system that encourages people to start and operate their own businessessystem where the marketplace determines pricessystem where people are free to own personal propertyThe Option D is correct.
What should we know about free enterprise system?The term "free enterprise" or "free market" refers to an economy in which the market, rather than the government, determines prices, products, and services.
Businesses and services are not subject to government regulation. Alternatively, free enterprise may refer to an ideological or legal system in which commercial activities are primarily governed by private measures.
Read more about free enterprise
brainly.com/question/30391954
#SPJ1
QUESTION 4: PROGRESS REPORT On the 20th of April 2023, The campus manager, Mr Manoto, requested the secretary in the SRC office, to compile a report on the progress of the revival day planning. In your report tasks that are completed are invitations for special guests and booking of live performers; the task committee is still busy with finalizing the design of the banners and T-shirt and sports bottle printing. Due to overspending on budget, you still have not booked catering and security for the day. Your report must be in memo format.
A sample memo based on the given question prompt is given below:
The MemoMemorandum
To: Mr. Manoto, Campus Manager
From: SRC Office Secretary
Date: April 20th, 2023
Subject: Progress update for Revival Day planning
Esteemed Mr. Manoto,
Please find below a status report detailing advancements made in the preparations of the upcoming Revival Day ceremony. We have accomplished issuing invitations to prominent guests and securing prominent musical acts. Our committees are putting the finishing touches to banner design, T-shirt outfits, as well as customizing sport water bottles.
Conversely, budgetary concerns impede us from booking security or catering caterers essential for event operations. However, we are investigating ways to cut expenses while still delivering quality service. We will be prompt with updates about progress made through these alternative strategies.
Thank you for your kind ownership in this venture; rest assured that our team is steadfastly dedicated to ensuring an excellent Revival Day rally session.
Yours faithfully,
[Your name]
Read more about memo here:
https://brainly.com/question/30389962
#SPJ1
Based upon Booked Orders and Sales Predictions, we expect to need the following finished goods over the planning period: 140 Product A We currently have the following Finished Goods Products in Inventory: 80 Product A We have scheduled the following to be produced in the factory within the planning period: 30 Product A How many products should we include on future Planned Production Orders?
The amount of products that should be included on the future Planned Production Orders is 30 products.
Using this formula
Future Planned Production Orders (Product A)=Finished goods over the planning period- Finished Goods Products in Inventory-Expected production
Where:
Finished goods over the planning period=140 Product A
Finished Goods Products in Inventory=80 Product A
Production in the factory within the planning period=30 Product A
Let plug in then formula
Future Planned Production Orders (Product A)=140-80-30
Future Planned Production Orders (Product A)=30 products
Inconclusion the amount of products that should be included on the future Planned Production Orders is 30 products.
Learn more here:
https://brainly.com/question/16907891
Marilyn wants to use a non-price competitive marketing strategy to gain more customers. Which of the following might she use?
lowering the cost of services
raising product prices
offering a promotion
underbidding competitors
Since Marilyn wants to use a non-price competitive marketing strategy to gain more customers, the option that she might use is option c: offering a promotion
What are non-price competition strategies?Non-price competition is a strategy that emphasizes on superior product quality, a unique selling proposition, a great location, and good service in place of cheaper pricing in order to draw clients and boost sales. It aids in brand differentiation and consumer acquisition. 29 Sept 2022
Note that a variety of strategies are used in marketing, including product differentiation, advertising, promotion, and distribution and as such, option C is correct.
Learn more about marketing strategy from
https://brainly.com/question/25640993
#SPJ4
Pd 4(A) Set 2 iz Question 7 (1 point) When investing in individual stocks, you should expect that... O a Stock prices for a company are relatively easy to predict d GRADES Next Page Back Unforeseen company events can have a dramatic impact on the stock price for a company You will have an informational edge by reading an article about a company you want to invest in Stock prices for an individual stock will be more stable over the long-term than prices for a diversified index fund S ✓ Sub Question 7 of 19 |
An investor should carefully consider their risk tolerance and investment goals before deciding whether to invest in individual stocks or index funds.
When investing in individual stocks, you should expect that unforeseen company events can have a dramatic impact on the stock price for a company. This is because the company's stock price reflects not only the company's current financial situation but also investors' expectations for the company's future performance.Unforeseen company events such as changes in leadership, new competitors, or regulatory changes can cause investors to reassess their expectations for the company's future performance, which can lead to fluctuations in the stock price.An investor should not expect that stock prices for a company are relatively easy to predict. This is because stock prices are influenced by a variety of factors, including company financial performance, economic conditions, market trends, investor sentiment, and geopolitical events. While some investors may try to predict stock prices using technical analysis or fundamental analysis, it is important to recognize that these methods have limitations and cannot guarantee accurate predictions.An investor can gain an informational edge by reading an article about a company they want to invest in. Reading articles about a company can provide valuable insights into the company's financial situation, growth prospects, and risks. However, it is important to recognize that reading articles is only one part of the investment process and should be supplemented by other sources of information, such as financial statements, analyst reports, and market data.An investor should not expect that stock prices for an individual stock will be more stable over the long-term than prices for a diversified index fund. In fact, individual stocks are generally more volatile than index funds because they are more susceptible to company-specific risks. By contrast, index funds are diversified across multiple companies and sectors, which can help to reduce overall portfolio risk.
for such more questions on investor
https://brainly.com/question/29547577
#SPJ8
Select the correct answer. For which jazz style was new orleans famous? a. Bebop b. Swing c. Cool jazz d. Dixieland.
The correct answer is d. Dixieland They claimed that it was their traditional jazz. jazz style was new orleans famous.
Jazz music is strongly associated with New Orleans, Louisiana, which is widely recognised as the cradle of the genre. Dixieland, often known as classic jazz, "New Orleans," and "New Orleans jazz," was the first type of jazz. Dixieland jazz is a subgenre of jazz that is based on the music that emerged in New Orleans at the beginning of the 20th century. It is sometimes known as classic jazz, hot jazz, or just Dixieland.Through the 1920s, "New Orleans style" or Dixieland jazz was extremely well-liked, but the 1930s witnessed the emergence of a new musical movement: swing. The big bands of the late 1930s and early 1940s were finally formed when several jazz performers combined into larger combos.
To learn more about Dixieland click on the link below:
brainly.com/question/27505438
#SPJ4
Read Chief Justice Taney's decision on the Dred Scott case (Major Problems, Ch. 13)explain how his decision impacted African Americans all over the United States.How do you think this decision affected abolitionists and supporters of slavery?
In Chief Justice Taney's decision on the Dred Scott case (Major Problems, Ch. 13), the impact on African Americans all over the United States was significant.
The decision ruled that African Americans, whether enslaved or free, were not considered citizens under the U.S. Constitution, thus stripping them of legal rights and protections.
For abolitionists, this decision was disheartening and fueled their desire to end slavery. They viewed it as a severe setback to the progress they had made in fighting for equal rights and the abolition of slavery.
Conversely, supporters of slavery viewed the Dred Scott decision as validation for their beliefs and as a legal justification for the continuation of the institution of slavery. Overall, the Dred Scott case further polarized the nation and intensified the conflict between abolitionists and supporters of slavery.
To know more about African Americans refer here:
https://brainly.com/question/364696#
#SPJ11
n
What is etiquette?
A. The amount of work an employee completes in a specific amount of time
B. A person's feelings and outlook about something
C. A collection of standards that define proper social behavior in a specific community
D The end result of an employee's work behavior
Answer: c
Explanation:
Etiquette refers to guidelines which control the way a responsible individual should behave in the society.
Answer:
its c
Explanation:
You expect to receive $10,000 at graduation in two years. You plan on investing it at 9 percent until you have $60,000. How long will you wait from now
Answer:
22.79 years
Explanation:
The computation of the number of years is shown below
Future value = Present value × ( 1 + rate)^number of years
$60,000 = $10,000 × (1.09)^n
($60,000 ÷ $10,000) = (1.09)^n
6 = (1.09)^n
Now take the log on both sides
log 6 = n × log 1.09
n = log 6 ÷ log 1.09
= 20.79 years
So, the time is
= 20.79 years + 2 years
= 22.79 years
Identify your global challenge: Based on your purpose, strengths, and leadership style find 4-6 digital media articles from reputable news organisations (e.g., ABC, BBC, The Guardian, Australian Financial Review, etc) that illustrate the kinds of business problems you are interested in solving. Explain why you think those problems are interesting and how they relate to your purpose, strengths and leadership style.
My strengths: humor, curiosity and judgment
My leadership style: facilitative style
My purpose: learn business programe at RMIT
My purpose: learn business programe at RMIT
My purpose: learn business programe at RMIT
Federal debt now stands at $23 trillion USD. You must pay 5% simple interest on the debt at the end of the year ... and the US Congress over-spent by another $500 billion deficit this year! Calculate the anticipated new Federal debt at the end of the year (type a number expressed in trillions of dollars)
Answer:
ion know im dumb
Explanation:
An investor buys a share of stock for $40 at time t = 0, buys another share of the same stock for $50 at t = 1, and sells both shares for $60 each at t = 2. The stock paid a dividend of $1 per share at t = 1 and at t = 2. The periodic money-weighted rate of return on the investment is closest to:
The investor's weighted rate of return on the two investments is closest to 31.75%.
Data and Calculations:
Cost of stock = $40
Time (t) = 0
Cost of stock = $50
Stock dividend per share = $1
Dividend at t1 = $2
Dividend at t2 = $2
Profits from sale of stock = $20 and $10 each
Weighted Rate of Return:
For stock 1 = 28.75% ($21/$40 x 100 1/2 + $1/$40 x 2/2)
For stock 2 = 3% ($1/$50 x 100 + $1/$50 x 100 x 1/2)
Weighted rate of return = 31.75% (28.75 + 3%)
Thus, the weighted rate of return on the investment is closest to 31.75%.
Learn more: https://brainly.com/question/15150930