Answer: Professionals in the securities and investment pathway help companies connect with investors
Explanation:
Which person would most likely want to invest all of his or her savings in a
hedge fund?
A. A retiree who is most interested in keeping her deposits safe
B. A student who wants his money to grow as quickly as possible
C. A teacher who would like to have a diversified set of investments
D. A doctor who wants to avoid paying taxes on retirement income
SUBMIT
Answer:
C. A teacher who would like to have a diversified set of investments
Which professional draws maps and plans for projects involving structures other than buildings, such as bridges?
I WILL MARK BRAILIST FOR THE FIRT PERSON THAT ANZARERS
Answer:
pretty sure its A
Explanation:
google said an architect and other people said A also Architects create designs for new construction projects, alterations and redevelopments. They use their specialist construction knowledge and high-level drawing skills to design buildings that are functional, safe, sustainable and aesthetically pleasing.
Answer:
the answer is a
Explanation:
an architect and other people said A also Architects create designs for new construction projects, alterations and redevelopments. They use their specialist construction knowledge and high-level drawing skills to design buildings that are functional, safe, sustainable and aesthetically pleasing.
Accounting II Homework Chapter 14: Issuance of Long-Term Liabilities-Bonds Problem 1: 1) On 1/1/21, Apple issued a $70,000,000,8%,10-year bond that pays semiannual interest on June 30 and December 31, receiving cash of $69,700,000. 2) On June 30, 2021, Apple made the first interest payment of the bonds issued on Jan. 1. 2021. Use the SLM for the discount amortization. Problem 2: 3) On 1/1/21, Pepsi issued a $90,000,000,10%,5-year bond that pays semiannual interest on June 30 and December 31 , receiving cash of $91,000,000 4) On June 30, 2021, Pepsi made the first interest payment of the bonds issued on Jan. 1. 2021. Use the SLM for the premium amortization.
1. The amount of discount amortization for the first interest payment is $150,000.
2, The amount of premium amortization for the first interest payment is $500,000.
How to solveProblem 1: Apple issued a 10-year, 8% bond with a face value of $70 million on January 1, 2021. The bond pays semiannual interest on June 30 and December 31.
Apple received $69.7 million for the bond, so there is a $300,000 discount. Apple uses the straight-line method to amortize the discount. On June 30, 2021, Apple made its first interest payment.
The amount of discount amortization for the first interest payment is $150,000.
Problem 2: Pepsi issued a 5-year, 10% bond with a face value of $90 million on January 1, 2021. The bond pays semiannual interest on June 30 and December 31.
Pepsi received $91 million for the bond, so there is a $1 million premium. Pepsi uses the straight-line method to amortize the premium. On June 30, 2021, Pepsi made its first interest payment. The amount of premium amortization for the first interest payment is $500,000.
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How Can we Analysis for further
Answer:
Questions can take the form of explaining the evidence or expanding on evidence; in other words, questions can give context or add meaning. Asking both kinds of questions is crucial to creating strong analysis.
which element of the marketing mix addresses the question of whether customers have similar product needs across international markets segments?
Product strategy of the marketing mix addresses the question of whether customers have similar product needs across international markets segments.
A foundational business model known as the "marketing mix" has historically focused on the four Ps of product, price, place, and promotion. The phrase "collection of marketing instruments that the firm utilizes to pursue its marketing objectives in the target market" refers to the marketing mix. The four main components of a marketing strategy are product, pricing, place, and promotion, often referred to as the marketing mix or the four P's of marketing. Product, pricing, place, and promotion make up the marketing mix. The marketing mix is the collection of tactical marketing instruments that may be controlled and used by a business to elicit a specific response from its target market. It entails every action a business can take to affect consumer demand for its goods.
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What is a creditor legally required to do if you dispute a debt?
O A. The creditor must cancel the dispute.
B. The creditor must investigate the dispute.
O c. The creditor can ignore the dispute.
O D. The creditor may choose to ignore the dispute.
A creditor is legally required to investigate the dispute if the debtor dispute a debt.
What is a debt dispute?This refers to an disagreement between the creditor and the committee as to the existence of a debt owed by the committee.
Hence, he creditor is legally required to investigate the dispute if the debtor dispute a debt.
Therefore, the Option B is correct.
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Consider a simple economy that produces only pies. The following table contains information on the economy's money supply, velocity of money, price level, and output. For example, in 2019, the money supply was $360, the price of a pie was $9.00, and the economy produced 800 pies.
The velocity of money in 2019 based on the information will be 20 and the nominal GDP is $7200.
From the complete information, the velocity will be calculated thus:
= Price level × Quantity / Quantity of money
= (9 × 800) / 360.
= 20
The nominal GDP will be:
= Price level × Quantity
= 9 × $800
= $7200
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which one does not appear on the balance sheet accountable accounts receivable returned earnings owners equity utility expense
Utility expense does not appear on the balance sheet.
A stability sheet is an assertion of a commercial enterprise's assets, liabilities, and proprietor's equity as of any given date. typically, a stability sheet is ready on the give up of set periods (e.g., each sector; or yearly). A balance sheet is made out of columns. The column on the left lists the assets of the business enterprise.
A balance sheet gives you a picture of your corporation's economic role at a given point in time. alongside an earnings announcement and a cash flow declaration, a balance sheet can help business proprietors compare their enterprise's financial status.
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Your post must be more than 1000 words
you will be arguing FOR (in support of) the statement.
discussing the following topic:
"Restrictive regulation between willing traders reduces market effectiveness. Therefore, prostitution between consenting adults should be legalized in every state of the United States."
Type it out, do not use photos or handwriting to present
Prostitution is the exchange of sexual services for money. It is a global industry that is estimated to be worth billions of dollars. Prostitution is legal in some countries and illegal in others. In the United States, prostitution is illegal in all but a few counties in Nevada.
There are many arguments for and against the legalization of prostitution. Proponents of legalization argue that it would reduce crime, improve public health, and give sex workers more control over their work. Opponents of legalization argue that it would increase human trafficking, exploitation, and violence against women.
There is no easy answer to the question of whether or not prostitution should be legalized. However, there is evidence to suggest that restrictive regulation between willing traders reduces market effectiveness.
One way to measure market effectiveness is to look at the price of goods and services. In a free market, the price of a good or service is determined by supply and demand. When there is a high demand for a good or service and a low supply, the price will be high. When there is a low demand for a good or service and a high supply, the price will be low.
The price of prostitution is determined by the same forces as any other good or service. However, the price of prostitution is often artificially high due to restrictive regulation. This is because restrictive regulation makes it more difficult for sex workers to operate, which reduces the supply of sex workers. When the supply of a good or service is reduced, the price of that good or service goes up.
For example, in Sweden, prostitution is illegal. As a result, the price of prostitution is very high. In 2009, the average price for a sex act in Sweden was $200. This is much higher than the average price for a sex act in other countries where prostitution is legal.
The high price of prostitution in Sweden has a number of negative consequences. First, it makes it difficult for people who are struggling financially to afford sex. Second, it makes it more likely that people will resort to crime in order to pay for sex. Third, it makes it more difficult for law enforcement to crack down on human trafficking and other forms of exploitation.
The high price of prostitution in Sweden is a direct result of restrictive regulation. If prostitution were legal, the price would likely go down. This would make it easier for people to afford sex, reduce crime, and make it easier for law enforcement to crack down on human trafficking and other forms of exploitation.
In conclusion, there is evidence to suggest that restrictive regulation between willing traders reduces market effectiveness. This is true for prostitution as well as other goods and services. The high price of prostitution in Sweden is a direct result of restrictive regulation. If prostitution were legal, the price would likely go down. This would make it easier for people to afford sex, reduce crime, and make it easier for law enforcement to crack down on human trafficking and other forms of exploitation.
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Why can’t a guy just love me, I would give him cuddles , kissed in the forehead , call him baby/ sunshine , let him use my thighs as pillows LOL ( don’t ask ) would play video games with him 24/7 , go to theme parks and have so much fun! I only wish it was real :(
Answer:
Dont rush anything!
Explanation:
The person who is meant for you will come soon :)
Owen Company's unadjusted book balance at June 30 is $11,400. The company's bank statement reveals bank service charges of $80. Two credit memos are included in the bank statement: one for $1,170, which represents a collection that the bank made for Owen, and one for $120, which represents the amount of interest that Owen had earned on its interest-bearing account in June. Based on this information, Owen's true cash balance is:
Answer:
Cash Balance = $12610
Explanation:
We can calculate the adjusted or true cash balance of Owen by making adjustments in the book balance using the transactions that only appear on the bank statement and are missing from the book balance calculation.
1. The bank service charges are a deduction that bank has made from the bank account of Owen. This, they should be deducted from the book balance.
2. A collection of $1170 made by the bank on Owen's behalf will increase the account balance of Owen. Thus, it should be added to the book balance.
3. The interest earned by Owen is also an addition to the bank balance and should be added in the unadjusted book balance.
The new or true cash balance of Owen will be,
Cash Balance = 11400 - 80 + 1170 + 120
Cash Balance = $12610
recognizing marketing’s greater purpose is one of the overriding principles of___
recognizing marketing’s greater purpose is one of the overriding principles of integrated marketing communications (IMC).
What is integrated marketing communication?A comprehensive marketing strategy called integrated marketing communications (IMC) aims to connect all advertising efforts in order to communicate a unified message to customers. To achieve maximum effect and alignment with the goals of the brand, it entails integrating a number of marketing mix components, such as direct marketing, personal selling, public relations, and sales promotion.
IMC makes sure that messaging, tone, and presentation are consistent across all platforms in order to assist companies in connecting with their target audience. IMC aims to give consumers a seamless experience where all touchpoints reinforce one another, eventually fostering trust and brand loyalty.
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flora Quinton is buying a new air compressor for her auto repair shop. it sells for $1,299. She makes a down payment of $199 and finances the remainder. How much does she finance?
Answer:
$1,100
Explanation:
flora Quinton is buying a new air compressor for her auto repair shop. it sells for $1,299. She makes a down payment of $199 and finances the remainder. How much does she finance?
1,299 - 199 = 1,100
Find the effective discount rate d 9
if the rate of simple interest is 6.8%. (four decimals) Answer: The amount of interest earned on A for one year is 199 , the amount of discount on A is 174 . Find A. (nearest cent)
The effective discount rate d9 = 7.28% and the value of A is $2926.47.
Given that the rate of simple interest is 6.8%.
We need to find the effective discount rate d9.
We know that:Simple Interest = Principal × Rate × Time
Where, Principal = P;
Rate = r;
Time = t
The formula to calculate the effective discount rate is as follows:
Effective Discount Rate (d) = [P / (P - D)] × (360 / t)
Where, P = Amount of loan,
D = Discount,
t = Total time
Let's find out A first.Amount of interest earned on A for one year is 199, then the principal of A = P = 199/6.8% = $2926.47
Next, we need to find the discount on A. Given, the rate of simple interest = 6.8%.
It means the discount rate = 100% - 6.8%
= 93.2%.
Discount = P × (d/100) × (t/360)174
= 2926.47 × (93.2/100) × (t/360)
T = 219 days
Next, we will find the value of A using the below formula:
Effective Discount Rate (d) = [P / (P - D)] × (360 / t)6.8%
= [2926.47 / (2926.47 - 174)] × (360 / 219)
Effective Discount Rate (d) = 7.28%
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Kristina works at a coffee shop. She can produce 200 coffee drinks in four hours. What is her productivity for one hour?
Answer: She can produce 50 drinks in 1 hour, 200/4 = 50
Answer:
50
Explanation:
divide 200 by 4
hope this helps dont 4get to like and star
-mercury
The price a person pays for the use of credit is called
A. Collateral
B. Debt
C. Insert
D. Security interest
six risks in business multi -million bus.. plzzz!!!!!!!!!!!!!????????
which of the following countries are often the first place that u.s. businesses go when they are interested in getting into an international business? check all that apply.philippineschinaindiarussia
When U.S. businesses are interested in expanding internationally, the countries that are often the first places they consider are China and India.
China and India are two of the largest and fastest-growing economies in the world, making them attractive destinations for U.S. businesses seeking international opportunities. Both countries offer vast consumer markets and have favorable business environments in terms of market potential, investment opportunities, and government support for foreign businesses.
China, with its massive population and strong manufacturing capabilities, is often a top choice for companies looking to access the Asian market and establish global supply chains. It offers a diverse range of industries and has undergone significant economic reforms, making it an appealing destination for U.S. businesses.
India, on the other hand, boasts a large consumer market and a growing middle class. It has a thriving service sector and is particularly attractive for technology companies, outsourcing, and skilled labor. India's business-friendly policies and ongoing economic liberalization make it an attractive destination for U.S. businesses seeking growth opportunities.
While the Philippines and Russia have their own unique advantages and opportunities, they are not typically considered the first choices for U.S. businesses when it comes to international expansion.
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U.S. businesses commonly consider China and India as their first points of entry when venturing into international business. Factors such as market size, economic stability, and ease of doing business influence this choice. Each company's decision is driven by its specific business model and strategy.
Explanation:In an attempt to diversify their markets and expand their customer base, U.S. businesses often consider venturing into international business. When deciding where to go first, several factors come into play, including the size of the market, economic stability, and ease of doing business. Among the countries listed, China and India tend to be the first places that U.S. businesses look to
China, with its vast population and growing middle class, is prime for businesses interested in significant market expansion. Further, enhanced business regulation strategies have made it increasingly accessible for foreign businesses.
Similarly, India's large consumer market, English-speaking population, and improving business environment make it an appealing destination for U.S. businesses pursuing international growth.
The decision to go international and select the best-suited market is imperative and driven by targeted research based on a company's individual business model and strategy.
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Question : Please pick up a topic about any thing that we covered in the class and prepare a research project about it .
The project should be presented in the class as a power point presentation and please submit with it a short summary (150 to 200 words) of your oral presentation.
My selected topic will be : ( U.S. Trade Policy with China)
Please I need a full project about the mentioned topic with the reason of choosing this topic , the project research should be cover every thing about the policies in the past , now and in the future ..
The project should also have
1- The reason for select this topic
2- Introduction
3- Conclusion
4- References (citation in APA form)
5- Charts and Block Diagrams
The policy impacts the global economy and trade. The reason for selecting this topic is to understand the history, background, and the current state of US trade policy with China and its future implications.
The project research covers every aspect of US trade policy with China, including the economic, political, and social implications of the policy. The US and China are the two largest economies in the world. They are also the two largest trading partners, with their trade relationship dating back to the 19th century. However, since the 2000s, the US trade deficit with China has increased, leading to concerns about the trade relationship between the two countries. This research project examines the history, current status, and future of US trade policy with China.
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suppose that you are employed as an advisor to the central bank. select the proper policy recommendation or economic prediction for each of the given scenarios. which policy is appropriate when a rising price level and a rising gdp are a concern?
As an advisor to the central bank, when faced with a concern of both a rising price level and a rising GDP, there are several policy recommendations that can be considered: 1. Tightening Monetary Policy 2. Contractionary Fiscal Policy
Tightening Monetary Policy: This involves increasing interest rates to curb borrowing and spending, which can help control inflation caused by excessive demand. Higher interest rates make borrowing more expensive, reducing consumer and business spending, and ultimately slowing down economic growth. 2. Contractionary Fiscal Policy: The government can reduce its spending or increase taxes to dampen demand and control inflation. By reducing government expenditure or increasing taxes, aggregate demand is lowered, which can help stabilize prices and prevent the economy from overheating. 3. Supply-Side Policies: Implementing policies that aim to increase the productive capacity of the economy can address both rising prices and GDP concerns.
In conclusion, when facing concerns of rising prices and GDP, policy recommendations could include tightening monetary policy, implementing contractionary fiscal policy, or adopting supply-side policies. The choice depends on the specific circumstances and goals of the central bank.
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Future value with periodic rates Man Johnsos delivers newspapers and is puting away $30 at the end of each quarter from his paper route collections Matt is 11 years old and will use the money when the goes to colege in 7 years. What will be the value of Mat's account in 7 years with his quarterly payments if he is eaning 6.5% (APR), 10.5% (APR) or 13% (APRI). What will be the value of Matrs account in 7 years with his quarterly payments if he is eaming 6.5% (APRY)?
The value of Matt's account in 7 years with quarterly payments will be $327.83 at a 6.5% APR, $386.82 at a 10.5% APR, and $416.29 at a 13% APR.
To calculate the future value of Matt's account with quarterly payments, we can use the formula for the future value of an ordinary annuity:
Future Value = P * [(1 + r/n)^(n*t) - 1] / (r/n)
P = Payment amount per period
r = Annual interest rate (in decimal form)
n = Number of compounding periods per year
t = Number of years
Given that Matt makes quarterly payments of $30, we can substitute the values into the formula:
For 6.5% APR:
P = $30
r = 6.5% = 0.065 (APR)
n = 4 (quarterly compounding)
t = 7 years
Future Value = $30 * [(1 + 0.065/4)^(4*7) - 1] / (0.065/4)
Future Value = $327.83
For 10.5% APR:
P = $30
r = 10.5% = 0.105 (APR)
n = 4 (quarterly compounding)
t = 7 years
Future Value = $30 * [(1 + 0.105/4)^(4*7) - 1] / (0.105/4)
Future Value = $386.82
For 13% APR:
P = $30
r = 13% = 0.13 (APR)
n = 4 (quarterly compounding)
t = 7 years
Future Value = $30 * [(1 + 0.13/4)^(4*7) - 1] / (0.13/4)
Future Value = $416.29
Therefore, the value of Matt's account in 7 years with quarterly payments will be $327.83 at a 6.5% APR, $386.82 at a 10.5% APR, and $416.29 at a 13% APR.
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Please help me
Lamp Lighting produces lamps from bought in
parts. The variable cost of each lamp comprises of direct materials of £6.00,
labour costs of £10.00 and other variable cost of £2.00. Lamp Lighting has
fixed overheads of £180,000 and sells its lamps for £30 each and the break-even
point is 15,000 lamps. What profit would Lamp Lighting make if the company sold
25,000 lamps?
(1 Point)
£240.000
£150.000
£120.000
£300,000
Answer:
£240.000
That's my answer
Explanation:
hope it's help
cameron had a listing agreement with a client named ben. ben got mad at cameron and said he was terminating the agreement. can ben do this
Yes, however Ben might still be bound by some clauses in the contract. cameron had a listing agreement with a client named ben
What would lead to the termination of a listing agreement?A listing agreement expires on the date specified or upon the closing of the property transaction, whichever comes first. Additionally, it will expire if the brokerage closes its doors or has its license suspended or revoked.
Which of the following would result in the listing agreement being terminated?Real estate law stipulates that a listing agreement shall cease upon the death, insanity, or bankruptcy of either the broker or the seller, whichever occurs first. Depending on the terms of the contract, a person who is the seller's power of attorney could be able to carry on with the property sale.
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Anna Maria made quarterly deposits to her savings account each quarter over a 4-year period. The account pays 8% compounded quarterly and each deposit was for $250. Anna wishes to purchase some artwork for a birthday gi6 for her favorite aunt. How much does she have available to make her gi6 purchase?
Answer:
The correct answer will be "$4659.83".
Explanation:
The given values are:
Deposit amount
= $250
Account pays
= 8%
Time period
= 4 years
As we know,
⇒ Future value = Deposit Amount × FVAV (r, n)
On putting the estimated values, we get
⇒ = \(250\times FVAV[\frac{8 \ percent}{4}, (4\times 4)]\)
⇒ = \(250\times FVAV (2 \ percent, 16)\)
⇒ = \(250\times 18.6393\)
⇒ = $\(4659.83\)
Note : % = percent
Which of the following statements correctly explains exports versus net exports? O Exports are goods, services, or resources produced domestically and sold minus imports. abroad, while net exports are equal to exports O Exports are goods, services, or resources produced abroad and sold domestically, while net exports are equal to imports oEuports are goods, services, or resources produced domestclly and sold abroad, while net exports are equal to imports minus exports minus exports Exports are goods, services, or resources produced abroad and sold domestically, while net exports are equal to exports minus imports
Exports are goods, services, or resources produced domestically and sold abroad, while net exports are equal to exports minus imports.
Exports are goods and services produced within a country and sold to other countries. They play a crucial role in a nation's economy, contributing to economic growth, job creation, and increasing the country's competitiveness in the global market. Exports can include a wide range of products, such as manufactured goods, agricultural commodities, natural resources, and services like tourism and consulting. Exporting allows businesses to reach a broader customer base, diversify revenue streams, and take advantage of international trade opportunities. Governments often provide support and incentives to promote exports, including trade agreements, export financing, and export promotion programs.
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The new boss gave workers better family leave, vacation, and sick leave policies. She is probably:
A. task-oriented.
B. narcissistic.
C. toxic.
D. relationship-oriented.
Answer:
Relation Oriented? its not A, B, or C...
Explanation:
Answer:
D. Relationship Oriented!
Explanation:
I just took the test!
What is syndicated services data (Special Form of Secondary Data)
Syndicated data are a type of secondary, external data that are provided to subscribers from a shared database in exchange for a service charge.
Syndicated data are gathered and made available to all subscribers in a standardised format. These businesses offer ready-to-use packaged data that contains the specialised routine information required by a certain industry to subscribing businesses.
The Nielson Ratings Service, which gauges TV audience numbers and viewer demographics for TV programmes, is an example of syndicated data. Syndicated data does not vary for the client in terms of the data's collection, analysis, or presentation.
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The table shows the terms of a fixed-rate mortgage.
Which accurately describes the terms of this mortgage? Check all that apply.
The homeowner is borrowing $360,000.
The monthly interest rate is 4 percent.
Monthly payments must be made for 30 years.
The annual interest rate is 4.8 percent.
The homeowner is borrowing $200,000.
Monthly payments must be made for 360 years.
The fixed-rate mortgage concept is used in home loans. Monthly payments for 30 years, the interest rate is 4.8%, and borrowing $200,000.
What is a fixed-rate mortgage?It is usually used in home loans with a fixed interest rate during the term of the loan. It is beneficial because once the rate of interest is fixed it is not influenced by the increase in the rate in the future.
C - Monthly payments for 30 years.
D - The interest rate is 4.8 % annually
E - borrowing $200,000.
Therefore, options C, D, and E explain the fixed-rate mortgage.
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If a person has $1,000 in a savings account and earns $20 a year in interest on that account, the rate of return on the money is close to
Answer:
2%
Explanation:
what is business process reengineering? group of answer choices the analysis and redesign of workflow within and between enterprises a standardized set of activities that accomplish as specific task, such as processing a customer's order integrates all departments and functions throughout an organization into a single it system so that employees can make decisions by viewing enterprise wide information on all business operations none of the above
Business process reengineering the analysis and redesign of workflow within and between enterprises a standardized set of activities that accomplish as specific task.
Business manner reengineering. Also called manner innovation and center manner remodel refers to the look for and implementation of radical extrude in an enterprise manner to different step forward results. Customer-dealing with techniques include order processing, purchaser service, income processing, purchaser billing and order shipping. Business-dealing with manner include strategic planning, tactical planning, finances forecasting, education and the buying of uncooked materials.
Business Process Reengineering reduces prices and cycle instances via way of means of putting off unproductive sports and the personnel who carry out them. Reorganization via way of means of groups decreases the want for control layers, hastens statistics flows and removes the mistakes and transform because of a couple of handoffs
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