The joining condition of an equi-join is based upon an equality.
Group of answer choices
True
False

Answers

Answer 1

True. The joining condition of an equi-join is based upon an equality between specified columns from the tables being joined.

Here are some key points to elaborate on the joining condition of an equi-join:

Equality-based condition: The joining condition in an equi-join is based on the equality operator (=). It means that the values of the specified columns in the tables being joined must be exactly the same for a row to be included in the result set.

This type of join is useful when you want to combine rows from different tables based on matching values in the specified columns.

Specified columns: The columns used in the joining condition are explicitly specified in the equi-join. These columns are identified by their names and are mentioned in the join clause or the ON clause, depending on the syntax used.

The specified columns determine how the rows from the tables being joined are compared for equality.

Tables being joined: In an equi-join, two or more tables are joined based on the equality of specified columns. The tables being joined are typically referenced in the join clause or the ON clause, depending on the syntax used.

The equality-based joining condition is applied to the specified columns in these tables to determine which rows are combined to form the result set.

Result set: The result set of an equi-join includes rows from the tables being joined that satisfy the equality-based joining condition. Only those rows that have matching values in the specified columns are included in the result set.

The result set may include columns from both the joined tables or a combination of columns from the joined tables, depending on the SELECT statement used.

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Related Questions

Which of the following falls outside of the classification of business expenditures that fall into the category of variable costs?
a) costs that increase with the quantity produced
b) costs of research and development
c) costs related to labor expenditures
d) costs related to physical inputs

Answers

The option that falls outside of the classification of business expenditures that fall into the category of variable costs is option C. costs of research and development. Read below about costs of research and development.

What is a costs of research and development?

These are costs taken to develop new products or processes that may or may not result in commercially viable items. The general rule is that research and development costs are to be expensed immediately when the costs are incurred.

Therefore, the correct answer is as given above.

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Near the end of 2010, the ledger of Stivers Company included the following accounts and balances: Allowance for Doubtful Accounts$ 1,000credit balance Bad Debt Expense 0balance Accounts Receivable 200,000 debit balance Cash collections on accounts receivable during 2010 amounted to $450,000. Sales revenue during 2010 amounted to $800,000, of which 75% was on credit, and it was estimated that 2% of the credit sales made in 2010 would ultimately become uncollectible. Before adjusting entries were made for 2010, a $10,000 account was determined to be uncollectible and written off by Stivers. In the adjustment process, Bad Debt Expense was recorded to 2010. This information is not reflected in the account balances above.After the above entries were posted to the ledger, calculate the balances of the Allowance for Doubtful Accounts, Bad Debt Expense and Accounts Receivable. Indicate whether the balance is a debit or a credit.

Answers

Answer and Explanation:

The computation of the balances of the Allowance for Doubtful Accounts, Bad Debt Expense and Accounts Receivable is shown below;

For Accounts receivable  

a) Opening balance $200,000 Debit balance

b) Current year credit sales (75% of $800,000) $600,000 Debit balance

c) (-) Current collection from accounts receivables -$450,000 Credit balance

d) (-) Bad debt expenses -$11,000 Credit balance

e) Closing balance of accounts receivables $339,000 Debit balance

for Allowance for Doubtful Accounts  

Allowance required as per Current year analysis (2% of (75% of $800,000) $12,000 Credit balance

(-) Opening balance $1,000 Credit balance

$11,000 Credit balance

The journal entry is  

Bad debt expense a/c …Dr   11000  

      To Allowance for Doubtful Accounts 11000  

The Closing balance of Allowance for Doubtful Accounts 12000 Credit balance

For Bad debt expenses  

The journal entry is    

Bad debt expense a/c …Dr   11000  

      To Allowance for Doubtful Accounts 11000  

The Closing balance of Bad debt expense account 0

Which of the following was not one of Reagan's four major policy objectives during his presidency?

A.reduce government regulation
B. reduce federal income tax and capital gains
C.reduce growth of government spending
D.reduce the rising taxes for middle-class citizens
E.reduce inflation by controlling growth of the money supply to reduce inflation ​

Answers

Answer: D.reduce the rising taxes for middle-class citizens

Explanation:

During the tenure of President Ronald Reegan when he was the president of the United States,he promoted some economic policies which were often referred to as Reaganomics.

These policies include:

A.reduce government regulation

B. reduce federal income tax and capital gains

C.reduce growth of government spending

E.reduce inflation by controlling growth of the money supply to reduce inflation ​

It should be noted that option D "reduce the rising taxes for middle-class citizens" isn't among the policies put forward by Reegan.

Investors minimize risk by investing money in __________. A. one specific company B. a variety of companies C. newly-formed corporations D. companies that are competitors Please select the best answer from the choices provided A B C D

Answers

Answer: B. a variety of companies

Explanation:

Investors minimize risk by investing money in a variety of companies. The reason for this is to minimize risk. Investing in one specific company isn't ideal because in the case of the company running at a loss, the investor loses all his or her money as well.

On the other hand, when the investor invest in different companies, the risk is minimized. When one company isn't doing well, others will probably be doing well.

Rather than the borrower paying a small rate of interest in each cycle like with a credit card, the borrower using a payday loan...

Answers

Answer:

Rather than the borrower paying a small rate of interest in each cycle like with a credit card, the borrower using a payday loan... doesnt make you go thourgh the cycle of interest.

Explanation:

Answer:

No, paying from a credit card is more preferable .

Explanation:

The borrower paying a small rate of interest in each cycle like with a credit card, the borrower using a payday loan :

No, since the interest charged by her credit card will be less than the interest charged by the payday lender. Usually, the sum given to you by the payday loan specialist is as of now net of interest. So, in the event that you connected for an advance of $100, you may be given a sum less than $100 but you still need to pay for $100. The brief span of time the payday lender has, it charges the next interest than that of a credit card. You merely pay interest on your credit card once you have an exceptional adjustment at the conclusion of the month to month cut-off. On the off chance that you pay off the entire extraordinary sum inside the cut-off, no intrigued will be charged.

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The Real Estate Settlement Procedures Act states all of the following EXCEPT

Answers

Idonno si maam I D is a good night I give it to him and I give it a go go bye bye hi and then I’ll give it bye to bye

Write 3 tactical goals that any business can follow.

Answers

The three tactical goals that any business can follow: Increase market share, Improve operational efficiency, Enhance customer experience.

1. Increase market share: One of the most common tactical goals for businesses is to increase their market share. This goal involves gaining more customers and sales compared to the competition in a particular market. To achieve this goal, businesses can focus on various tactics such as improving their product or service quality, offering competitive pricing, expanding their distribution channels, increasing marketing and advertising efforts, and providing excellent customer service.

2. Improve operational efficiency: Another tactical goal for businesses is to improve operational efficiency. This goal involves reducing waste, improving productivity, and streamlining processes to save time and resources.

Businesses can achieve this goal by using technology and automation, adopting best practices, implementing lean processes, training employees, and measuring performance. Improving operational efficiency can help businesses increase their profitability and competitiveness.

3. Enhance customer experience: Another essential tactical goal for businesses is to enhance customer experience. This goal involves improving every interaction customers have with the business, from the first contact to post-sale support. To achieve this goal, businesses can focus on various tactics such as personalization, convenience, responsiveness, reliability, and empathy.

Enhancing customer experience can help businesses build brand loyalty, increase customer satisfaction, and generate positive word-of-mouth recommendations.

In conclusion, tactical goals are essential for businesses to achieve their overall strategy. By setting specific and measurable objectives that align with their strategy, businesses can improve their performance and competitiveness. The three tactical goals discussed above are just examples, and businesses should customize their goals based on their unique needs and circumstances.

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What is an example of form utility

Answers

Form utility refers to how well a product or service meets the customer's needs. For example, a company might design a product to target a specific client's needs or wants. Form utility is the incorporation of customer needs and wants into the features and benefits of the products being offered by the company!

Which of the following would increase aggregate demand?

Answers

Answer:

Increase in income


Explanation:

Which of the following is a requirement for obtaining a Texas insurance agent's license? Be honest, trustworthy, and reliable.

Answers

One of the requirements for obtaining a Texas insurance agent's license is to be honest, trustworthy, and reliable.

While this requirement is essential for individuals entering the insurance industry, it is not the sole requirement for obtaining a license. In addition to personal qualities such as honesty and reliability, aspiring insurance agents in Texas insurance must also meet certain regulatory criteria.

These criteria typically include completing pre-licensing education, passing a licensing exam, and submitting an application with the necessary documentation. The licensing process aims to ensure that individuals entering the insurance profession meet the necessary qualifications, possess the knowledge and skills required to serve clients effectively and adhere to ethical standards to maintain trust and integrity within the industry.

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True or false: Studying business does NOT offerlany benefits for those who decide to work for a government agency or a nonprofit organization

Answers

The following question is : false

The given statement stating that "the study of business would not help in knowing about the advantages of Non-profit organizations or government agencies" would be considered:

b). False

'Non-profit Organizations' are characterized as the 'type of business organizations or set up that does not work with the aim of profit but for social welfare. Similarly, the sole motive of a government agency is also 'social welfare.' However, the workings of both the kinds of organizations(business and NPOs) are similar like the recruitment of staff or volunteers, ensuring productivity, putting the revenue back to the firm for progression of its operations, etc. Both of them have a goal of leaving the maximum impact on the people. Thus, the given statement is false as studying about business would give a very clear idea about the various processes of an organization.

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T/F in the simple eoq model, if the carrying cost were to double, the eoq would also double.

Answers

False. In the simple EOQ (Economic Order Quantity) model, if the carrying cost were to double, the EOQ (optimal order quantity) would not necessarily double.

The EOQ model takes into account various factors, including the carrying cost (cost of holding inventory) and the ordering cost (cost of placing an order). The formula for calculating the EOQ is based on finding the balance between these costs to minimize total inventory costs.

If the carrying cost were to double, it would affect the EOQ calculation, but it would not automatically result in a doubling of the EOQ. The EOQ is influenced by multiple factors, such as the ordering cost, demand rate, and holding cost. Changing any of these factors can impact the optimal order quantity. Therefore, while an increase in carrying cost would influence the EOQ, the relationship is not necessarily a direct doubling.

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nne's marginal income tax rate is 32 percent. she purchases a corporate bond for $19,500 and the maturity, or face value, of the bond is $19,500. if the bond pays 8.8 percent per year before taxes, what is anne’s annual after-tax rate of return from the bond if the bond matures in 1 year? what is her annual after-tax rate of return if the bond matures in 10 years?

Answers

Anne's annual after-tax rate of return is 5.99% for both a 1-year and 10-year maturity of the bond.

To calculate Anne's annual after-tax rate of return from the bond, we need to consider her marginal income tax rate.

For a 1-year maturity:

Calculate the annual interest income: $19,500 * 8.8%

= $1,716

Calculate the after-tax interest income: $1,716 * (1 - 0.32)

= $1,166.88

Calculate the after-tax rate of return: $1,166.88 / $19,500

= 0.0599 or 5.99%

For a 10-year maturity:

Calculate the annual interest income: $19,500 * 8.8%

= $1,716

Calculate the after-tax interest income: $1,716 * (1 - 0.32)

= $1,166.88

Calculate the after-tax rate of return: $1,166.88 / $19,500

= 0.0599 or 5.99%

Therefore, Anne's annual after-tax rate of return is 5.99% for both a 1-year and 10-year maturity of the bond.

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One of the core conceptual models we have considered this semester is Butler’s Destination Lifecycle. With reference to a tourism destination of your choice describe two reasons why it is sometimes difficult to determine a critical carrying capacity threshold.

Answers

However, the concept of carrying capacity is not always well defined or well understood. Some researchers define carrying capacity as the number of tourists that a destination can accommodate without causing environmental degradation,

One of the core conceptual models that are considered in tourism is Butler’s Destination Lifecycle. In relation to a tourism destination of your choice, there are two reasons why it is sometimes difficult to determine a critical carrying capacity threshold. These reasons are conceptual.The first reason is that carrying capacity is a conceptual term that is often difficult to determine. The carrying capacity of a destination depends on a range of factors such as the characteristics of the destination, the type of tourists that visit, and the tourist’s behavior. It is often difficult to determine the carrying capacity of a destination because of the complexity of these factors. The carrying capacity of a destination is not fixed; it can change over time due to changes in the destination’s environment.The second reason why it is sometimes difficult to determine a critical carrying capacity threshold is that carrying capacity is sometimes difficult to describe.

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prepare the horizontal model for each of the following transactions. a. to record the payment on july 1, assuming that all $27,000 is initially recorded as rent expense. b. to record the adjustment that would be appropriate at july 31 if your entry in a had been made. c. to record the payment on july 1, assuming instead that all $27,000 is initially recorded as prepaid rent. d. to record the adjustment that would be appropriate at july 31 if your entry in c had been made. e. to record the adjustment that would be appropriate at august 31 and september 30, regardless of how the payment on july 1 had been initially recorded (and assuming that the july 31 adjustment had been made). indicate the financial statement effect. (enter decreases with a minus sign to indicate a negative fina

Answers

As a supervision to the bookkeeper, it is advised that the payment be initially recorded as a debit to Prepaid rent. Rent is paid at the start of the relevant quarter, hence this is the correct accounting technique. Because it resembles an advance payment, it needs to be recognized as an asset when the payment is made. The portion of the rent that has expired each month should be included to the rent expense.

Is Prepaid rent A current liabilities?

Simply said, prepaid rent is shown under current assets on the balance sheet since it is common for businesses to pay the rent in advance and to use it within a short period of time after payment, typically during the same financial period.

Rent that has been paid in advance can be used to offset future rent expenses, making it an asset.

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prepare the horizontal model for each of the following transactions. a. to record the payment on july
prepare the horizontal model for each of the following transactions. a. to record the payment on july

Corporate governance failures at Volkswagen included all the following except
A. A lack of understanding regarding the risks of installing "defeat devices" during emissions testing of at least 11 million VW vehicles equipped with diesel engines
B. Fraudulent executive compensation systems at Volkswagen
C. A strong independent board of directors that was responsible for making independent judgements about the validity and wisdom of managements proposed strategic actions
D. Inadequate monitoring of VW’s chairman, its CEO and other senior executives
E. Incomplete understanding and ineffective oversight of the technologies employed to accurately determine automobile emissions

Answers

Corporate governance failures at Volkswagen included all the following except option C. a strong independent board of directors that was responsible for making independent judgments about the validity and wisdom of management's proposed strategic actions.

What was one factor that did not contribute to the corporate governance failures at Volkswagen?

The absence of strong independent board of directors at Volkswagen was not among the contributing factors to company's corporate governance failures.

These failures encompassed a lack of understanding regarding the risks associated with installing "defeat devices" during emissions testing, fraudulent executive compensation systems, inadequate monitoring of senior executives, and incomplete understanding and oversight of the technologies used to determine automobile emissions accurately.

These shortcomings exposed significant weaknesses in governance and oversight within the company.

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how do i make a sandwich if my teacher was 35 and her husband was 3 and i was 36

Answers

Answer:

WHATTTTTTT XD

Explanation:

Can i have a brainiest i kind of need them

Also you might need therapy

Answer:

first how in heck are you till in school and sec HOW IN THE HELL IS HE 3

 explanation:

QUESTION 3 of 10: Last month, sales in the following categories were: Promotional items ($1,401 with returns of $214 and discounts of
$159), Staple items ($2,306 with returns of $178), All other items ($2,298 with returns of $56). The total square footage of selling space is
5,000 square feet. Compute the sales per square foot of selling space.
ОООО
a) $0.78/square foot
b) $1.08/square foot
c) $1.54/square foot
d) $1.67/square foot

Answers

Answer:

b) $1.08/square foot

Explanation:

The sales per square foot will be the net sales/total square feet.

Net sales :

promotional items = sales - returns- discount

=$1,401 - $214 -  $159

=$1028

Staple items = sales -returns

= $2,306- $178

=$2,128

Other items

= $2,298- $56

=$2,242

Total net sales = $1028 + $2,128 + $2,242

=$5,398

The sales per square foot of selling space will be

=$5,398/5000

=$ 1.079

=$1.08

As people have more time to adjust to a price change,
a. both supply and demand become less elastic.
b. demand becomes less elastic, and supply becomes more elastic.
c. demand becomes more elastic, and supply becomes less elastic.
d. both supply and demand become more elastic.
e. elasticity of both demand and supply tends toward unity.

Answers

Option d. both supply and demand become more elastic. As people have more time to adjust to a price change, both supply and demand become more elastic.

Over time, consumers and producers can find alternatives to the product or service in question, making them more responsive to changes in price. In other words, as time passes, there are more options available to consumers and producers, which makes them more sensitive to changes in the price of a product or service. This increased sensitivity leads to a greater degree of elasticity in both supply and demand. Therefore, option d is the correct answer.

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To find the net result, we must first find_______________________
When analyzing the monopolist's demand and cost conditions.
a. the output at which MR = AVC to select the profit-maximizing output.
b. the difference of average total cost and selling price to determine the
result.
c. the low, end, case in a monopolist's short-run position.
d. the height of the demand curve to determine the cost of operation.
e. the price the monopolist is charging and subtract marginal cost.

Answers

The correct answer is: e. the price the monopolist is charging and subtract marginal cost.

To find the net result in analyzing a monopolist's demand and cost conditions, you need to determine the difference between the price the monopolist is charging for its product and the marginal cost of producing that unit. This calculation gives you the net revenue per unit and allows you to assess the profitability of the monopolist's operations.

In a monopolistic setting, the monopolist has control over the price it charges for its product and aims to maximize its profits. By comparing the price charged to the marginal cost, the monopolist can determine the net revenue earned per unit. Maximizing profits typically involves producing the quantity at which marginal revenue equals marginal cost (MR = MC), but this is not explicitly mentioned in the given options.

Therefore, the most appropriate answer is e, as it accurately describes the process of finding the net result by subtracting the monopolist's marginal cost from the price charged.

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pickler company has a debt-equity ratio of .65. return on assets is 7.2 percent, and total equity is $815,000.
a. What is the equity multiplier? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)
b. What is the return on equity? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)
c. What is the net income? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) eBook Hint Print References a. b. Equity multiplier Return on equity Net income % c.

Answers

a. The equity multiplier is 1.65

b. The return on equity is 11.88%

c. The net income is $96,837

a. The equity multiplier can be calculated as follows:

Equity Multiplier = Total Assets / Total Equity

Debt-Equity Ratio = Total Debt / Total Equity

Total Debt = Debt-Equity Ratio x Total Equity

Total Assets can be calculated by adding Total Debt and Total Equity: Total Assets = Total Debt + Total Equity

Since the debt-equity ratio is given as 0.65, we can also use the formula:

Debt = 0.65 * $815,000 = $529,750

Total Assets = Equity + Debt

Total Assets = $815,000 + $529,750 = $1,344,750

Equity Multiplier = Total Assets / Total Equity

Equity Multiplier = $1,344,750 / $815,000 = 1.65

Therefore, the equity multiplier is 1.65



b. The return on equity can be calculated using the DuPont identity:

Return on Equity = Net Income / Total EquityReturn on Assets = Net Income / Total Assets

Net Income = Return on Assets * Total Assets

Net Income = 0.072 * $1,344,750 = $96,837

Return on Equity = Net Income / Total Equity

Return on Equity = $96,837 / $815,000 = 0.1188

Return on Equity = 11.88%

Therefore, the return on equity is 11.88%.



c. We can use the formula for net income:

Net Income = Return on Assets * Total Assets

Net Income = 0.072 * $1,344,750 = $96,837

Therefore, the net income is $96,837.

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the purpose of a budget is to do what?
O A. Earn a return on savings
O B. Make sure expenses are below income
O C. Reduce the size of fixed expenses
O D. Prevent discretionarily spending

Answers

D. the whole point of a budget is to save money. sometimes we buy unnecessary things that we don’t need or already have. being on a budget will keep us from spending the money that we could use later on in life!

The reason why we come up with budgets is to B. Make sure expenses are below income.

Why do we use budgets?



Budgets are beneficial because they help us spend our income in such a way that we still have savings and can take care of all our expenses.

This means that budgets help us to spend less expenses than income so that we can have savings.

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According to the following table, which of these factors affects your credit
score the least?
Percent affects score
Max # of points
2973
Factor
wwarded
Payment history
Amount owed
Length of credit
history
New credit
Types of credit
30%
15%
1275
10%
10%
85
85

According to the following table, which of these factors affects your creditscore the least?Percent affects

Answers

Answer: New credit

Explanation:

According to the following table, new credit, of these factors affects your credit score the least. Therefore, option (a) is correct.

What is credit score?

Based on a thorough examination of a person's credit files, a credit score is a numerical representation that reflects their creditworthiness. Credit scores are determined by statistically analyzing a person's financial history, which includes their payment history, credit utilization, duration of credit history, categories of credit utilized, and most recent credit queries.

A person who has applied for new credit is said to have credit lines or loans that they did not previously have. One component of a person's credit report, it impacts whether their credit score will increase or decrease. Because it adds a hard query to their credit report, applying for new credit can temporarily lower a person's credit score.

As a result, the significance of the these factors impacts credit score the least are the aforementioned. Therefore, option (a) is correct.

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Which of these describes information that can appear in a consumer’s credit report?

A. The name of a company that gave the consumer a car loan two years ago

B. The amount of money that the consumer loaned to a family member

C. The amount of money the consumer will need to borrow in the next five years

D. The name of a store where the consumer pays cash for all purchases

Answers

Answer:

A. The name of a company that gave the consumer a car loan two years ago

Explanation:

A credit report is the statement that contains the information related to your credit activity & the present credit situation like history of loan payment, the status of your credit accounts. This would help lenders to use these reports whether they will give you loan and if they are agree than what rate of interest they would offer you

So according to the given situation, the option A is correct

Vitale Hair Spray had sales of 13,000 units in March. A 70 percent increase is expected in April. The company will maintain 30 percent of expected unit sales for April in ending inventory. Beginning inventory for April was 650 units.

Answers

The units to be purchased in April by Vitale Hair Spray should be 28,080 units.

These units to be purchased by Vitale Hair Spray are computed as follows:

Sales units in March = 13,000 units

Expected increase in Sales units in April = 70%

Therefore, Sales units in April = 22,100 (13,000 x 1.7)

Ending Inventory for April = 30% of expected April Sales

= 6,630 units (22,100 x 30%)

Purchases = Ending Inventory + Expected April Sales - Beginning Inventory = 28,080 units (6,630 + 22,100 - 650)

Thus, the units to be purchased are the sum of Expected April Sales and Ending Inventory Less Beginning Inventory.

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Harlowe purchases a watercolor painting by a prominent local artist and a RecumbentSloth brand recliner from a yard sale. She pays cash for both items, and the seller promises to deliver them next week. Two days later the seller calls Harlowe and says he no longer wants to sell the items and sends Harlowe back her money. If Harlowe sues, will she be able to get the items she bought?

Answers

Answer:

Yes, Harlowe should sue for specific performance of the contract.

Specific performance is a legal remedy in contract law where a civil court orders the breaching party (seller) to perform their part of the contract.

In this case, Harlowe will probably be able to get the painting since it is a unique article, but it will be harder for him to get the chair. He might be able to get the seller to deliver it to him, but since it is a common article, he could find a similar one somewhere else. But that is not the case of the painting, which is not a common article and it cannot be found somewhere else.

Nico and Lorena used different methods to determine the product of three fractions. Nico's Method Lorena's Method Whose solution is correct and why? Nico is correct because he knew that Nico is correct because he knew that Lorena is correct because she knew that Lorena is correct because she knew that

Answers

Hello. You forgot to show the calculations made by Nico and Lorena. The calculations are shown in the attached figure.

Answer:

Nico is correct because he knew -4/5 is equal to -4/5.

Explanation:

As you can see in the image below, Nico and Lorena had to solve the expression (2) x (1/6) x (-4/5).

In this case, the correct resolution is Noco's resolution, since it has the following resolution steps:

2x1x (-4) / 1x6x5 =

-8/30 =

-4/15

Nico and Lorena used different methods to determine the product of three fractions. Nico's Method Lorena's

3. You plan to retire 25 years later. What equal amount of money would you need to deposit in the same account at the end of every year for the next 25 years in order to accumulate $2 Million at the instant the 25th deposit is made? Assume the bank pays interest at the rate of 5% per year. 4. What equal sums of money should you invest in a bank at the end of every year for the next 10 years in order to accumulate $50,000 at the end of 10 years, that is, just when the 10 th deposit is made? Assume the bank pays interest at the rate of 12% per year compounded weekly.

Answers

To accumulate $50,000 at the end of 10 years, you would need to invest approximately $3,140.44 at the end of each year.

To calculate the equal amount of money needed to deposit in the bank for both scenarios, we can use the formula for the future value of an ordinary annuity:

Future Value = Payment × \(\left(1 + \text{{interest rate}}\right)^{\text{{number of periods}}} - 1\) ÷ interest rate

Let's calculate the amounts needed for each scenario:

Retirement Savings:

Future Value = $2,000,000

Interest Rate = 5% per year

Number of Periods = 25 years

Using the formula, we can calculate the equal amount needed to deposit each year:

$2,000,000 = Payment ×\([(1 + 0.05)^2^5 - 1]\) ÷ 0.05

Solving for Payment, we find:

Payment = $2,000,000 × 0.05 ÷ \([(1.05)^2^5 - 1]\)

Payment ≈ $40,678.91 (rounded to the nearest cent)

Therefore, to accumulate $2 million at the end of 25 years, you would need to deposit approximately $40,678.91 at the end of each year.

Investment for Accumulating $50,000:

Future Value = $50,000

Interest Rate = 12% per year (compounded weekly)

Number of Periods = 10 years

Using the formula, we can calculate the equal amount needed to invest each year:

$50,000 = Payment × \([(1 + 0.12/52)^(^5^2^*^1^0^) - 1]\) ÷ (0.12/52)

Solving for Payment, we find:

Payment = $50,000 × (0.12÷52) ÷ \([(1 + 0.12/52)^(^5^2^*^1^0^) - 1]\)

Payment ≈ $3,140.44 (rounded to the nearest cent)

Therefore, to accumulate $50,000 at the end of 10 years, you would need to invest approximately $3,140.44 at the end of each year.

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ll the different product lines offered by a company are collectively called its O a. product adoption O b. product class O c product mix O d. product category

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The whole of a company's many product lines is referred to as its Product Mix.

By employing an effective product mix strategy, a business can focus its efforts and resources on the products and product lines within its offerings that have the most potential for growth, market share, and revenue. The distinctions between the product line and the product mix must first be understood. A product line is a group of brands or product categories that a company markets. A product line is made up of a series of linked items with comparable features, advantages, target markets, costs, and distribution strategies. Important product line qualities include line stretching, line filling, line updating, and line featuring.

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You are an American, working for a US hospital. The hospital sells services to a French hospital. Given a depreciation of the Euro, your French subsidiary (the one that receives the revenues from the French Hospital) received a lesser income last year, although a clause in your contract stipulates adjustment payment in US dollars. Therefore, your subsidiary has a balance sheet loss, although your consolidated global result is positive. This type of foreign exchange risk is known as:

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Answer:

translation exposure

Explanation:

Translation exposure is also known as translation risk. In this type of risk, the value of a company's assets, equities, income, or liabilities change due to changes in the exchange rate,

French subsidiary received a lesser income last year, although payment will be adjusted in US dollars as per the contract.

Due to this, the subsidiary has a balance sheet loss, although the consolidated global result is positive.

This type of foreign exchange risk is known as translation exposure.

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