In this situation, we should seriously consider globalization because of the falling trade and investment barriers.
What are barriers?The traits we have that prevent us from succeeding are known as barriers.
All investors should be aware of the obstacles they must face in order to succeed. The first step in reducing obstacles is really becoming aware of them.
The obstacles covered here are some of the more typical ones, although every investor has their own challenges to overcome.
Investors occasionally have the mistaken belief that all it takes to succeed is choosing the appropriate stocks to buy and sell.
Investors occasionally lack a basic understanding of how markets operate, what influences stock prices, and how to make profitable investments.
In addition, a lot of investors tend to think they can outperform the market, which leads them to take unneeded risks.
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Fellar Corporation has identified the following information: Activity pools Materials handling $ 38,540 Machine maintenance $ 22,910 Cost drivers Number of material moves 820 Number of machine hours 79,000 Required: Calculate the activity rate for each activity pool. Determine the amount of overhead assigned to Fellar’s products if they have the following activity demands: Product A Product B Number of material moves 630 190 Number of machine hours 42,400 36,600 Using activity proportions, determine the amount of overhead assigned to Fellar’s products.
Activity rates for each activity pool are calculated below: Activity pool Activity rate Materials handling$47 per material move Machine maintenance$0.29 per machine hour.
To determine the overhead assigned to Fellar’s products if they have the given activity demands, use the activity rates for the relevant activity pools. Product A Product B Material handling cost, The overhead cost assigned to product A is \($41,870\), while the overhead cost assigned to product B is $19,544.
Since the activity proportions are not given, we cannot calculate the amount of overhead assigned to Fellar’s products using activity proportions.
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Assume the following data describe the condition of the banking system how large is the money supply
Without specific data on the amount of currency in circulation, reserves, and other factors that contribute to the money supply, it is difficult to provide a precise answer. However, it is possible to make some generalizations.
The condition of the banking system can impact the money supply in several ways. If banks are experiencing financial difficulties, they may reduce lending, which can limit the amount of money circulating in the economy. Conversely, if banks are healthy and able to lend freely, this can increase the money supply. Additionally, monetary policy decisions by the central bank can impact the money supply. For example, if the central bank engages in open market operations to purchase government securities, this can increase the money supply. Overall, the size of the money supply depends on many variables and cannot be determined solely by information on the condition of the banking system.
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What type of insurance would cover a cover a customer injury caused by a product design defect?
Answer:product liability
Explanation:
Apex
Random variations represent either increasing or decreasing movements over many years due to factors such as population growth, population shifts, cultural changes and income shifts.
Answer:
FALSE
Explanation:
THIS IS THE COMPLETE QUESTION
Trends representing either increasing or decreasing movements over many years due to factors such as population growth, population shifts, cultural changes, and income shifts are a component of a time series called "Random Variations"
Random Variation can be regarded as
tendency of an estimated size/ value of a parameter to undergo deviation randomly away from the real/ true magnitude/ value of the parameter.
a business operated at 100% of capacity during its first month and incurred the following costs: production costs (5,000 units): direct materials $70,000 direct labor 20,000 variable factory overhead 10,000 fixed factory overhead 2,000 $102,000 operating expenses: variable operating expenses $17,000 fixed operating expenses 1,000 18,000 if 1,000 units remain unsold at the end of the month and sales total $150,000 for the month, the amount of manufacturing margin that would be reported on the absorption costing income statement is a.$54,000 b.$50,000 c.not reported d.$70,000
A business operated at 100% of capacity during its first month. The amount of manufacturing margin that would be reported on the absorption costing income statement is $ 50,400.
Elaborating:Sales revenue 150000
Less: Cost of goods sold 81600 =102000/5000 × 4000
Gross margin 68400
Less: Operating expenses 18000
Operating income 50400
What exactly is a cost accounting income statement?
A pay proclamation is a budget summary that shows you the organization's pay and consumptions. It likewise shows whether an organization is creating gain or misfortune for a given period. The cash flow statement, balance sheet, and income statement all help you understand your business's financial health.
How is total costing calculated?A production income statement is provided by the total cost method. This indicates that the produced units of measurement are used to record income and expenses. The units of measure produced during the period under review are used to report income and expenses.
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In the age of social media, e-mail marketing as a sales technique has virtually dried up. True or False?
The given statement, "In the age of social media, e-mail marketing as a sales technique has virtually dried up" is false because while social media has certainly become a popular platform for sales and marketing, e-mail marketing is still widely used and effective in reaching and engaging with customers.
E-mail marketing remains a relevant and effective sales technique in the age of social media. In fact, e-mail marketing continues to be one of the most valuable tools for businesses to reach and engage their target audience.
E-mail marketing offers several advantages, including:
Direct and Personalized Communication: E-mails allow businesses to communicate directly with their audience in a personalized manner. By segmenting their email lists and tailoring messages to specific customer segments, businesses can deliver targeted and relevant content, which can lead to higher engagement and conversions.Cost-Effective and Measurable: E-mail marketing is a cost-effective marketing method compared to traditional advertising channels. It allows businesses to track open rates, click-through rates, and conversion rates, providing valuable data to measure the effectiveness of campaigns and make improvements.Customer Relationship Building: E-mail marketing provides an opportunity to build and nurture relationships with customers. Through regular and valuable communication, businesses can stay top-of-mind, provide useful information, and engage customers with promotions, updates, and personalized offers.Automation and Personalization: With advanced email marketing tools, businesses can automate campaigns, set up personalized triggers, and send targeted messages based on customer behavior and preferences. This automation and personalization help enhance the customer experience and drive better results.While social media offers its own benefits and plays a significant role in marketing strategies, e-mail marketing remains a valuable and effective sales technique that continues to deliver results for businesses. It is important for businesses to integrate different marketing channels, including both social media and e-mail marketing, to create a comprehensive and effective marketing strategy.
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If you know the answer plz help me out
Answer:
o Location
Explanation:
o Location
what benefits do you think its the best?
working knowledge of the functional areas of business.
ability to recognize an ethical dilemma and make the most appropriate response.
the ability to work effectively as a member of a team.
Explanation:
I think the (a) is the best.
Assume the total cost of a college education will be $335,000 when your child enters college in 15 years. You presently have $53,000 to invest. Required: What annual rate of interest must you earn on your investment to cover the cost of your child’s college education? (Round your answer as directed, but do not use rounded numbers in intermediate calculations. Enter your answer as a percent rounded to 2 decimal places (e.g., 32.16).)
you would need to earn an annual rate of interest of 5.532% to cover the cost of your child's college education.
\(FV = PV * (1 + r)^n\)
\(335,000 = 53,000 * (1 + r)^{15\)
Dividing both sides by 53,000, we get:
\((1 + r)^{15} = 335,000 / 53,000\)
Taking the 15th root of both sides, we get:
\(1 + r = (335,000 / 53,000)^{(1/15)\)
1 + r = 1.05532
Subtracting 1 from both sides, we get:
r = 0.05532
Multiplying by 100 to convert to a percentage, we get:
r = 5.532%
An annual rate refers to the percentage of a particular value that is earned or charged over the course of a year. It is commonly used in the financial industry to express interest rates, investment returns, inflation rates, and other economic indicators that are measured on an annual basis.
Annual rates are often used as a way to compare the performance of different investments or to calculate the long-term impact of financial decisions. They are also used by businesses to forecast future growth and profitability. It is important to understand the concept of annual rates and how they are calculated in order to make informed financial decisions.
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Compute marginal revenue from the following data on market demand: Price per unit $38 36 34 32 30 28 26 Units demanded 10 11 12 13 14 15 16 Marginal revenue __ __ __ __ __ __ __ (a) At what price does MR
From the above marginal revenue calculation, we can see that the marginal revenue becomes zero at the 14th unit. Therefore, the price at which MR=0 is $32.
To compute the marginal revenue, we need to first calculate the total revenue for each quantity demanded. We can do this by multiplying the price by the quantity demanded:
Price per unit: $38 36 34 32 30 28 26
Units demanded: 10 11 12 13 14 15 16
Total revenue: $380 $396 $408 $416 $420 $420 $416
To calculate marginal revenue, we need to find the change in total revenue resulting from a one-unit increase in quantity demanded. So, for example, the marginal revenue of selling the 11th unit would be the difference in total revenue between selling 11 units and selling 10 units. We can calculate this as follows:
Marginal revenue for 11th unit = Total revenue for 11 units - Total revenue for 10 units
= $396 - $380
= $16
Using this method, we can calculate the marginal revenue for each additional unit as follows:
Marginal revenue for 12th unit = Total revenue for 12 units - Total revenue for 11 units
= $408 - $396
= $12
Marginal revenue for 13th unit = Total revenue for 13 units - Total revenue for 12 units
= $416 - $408
= $8
Marginal revenue for 14th unit = Total revenue for 14 units - Total revenue for 13 units
= $420 - $416
= $4
Marginal revenue for 15th unit = Total revenue for 15 units - Total revenue for 14 units
= $420 - $420
= $0
Marginal revenue for 16th unit = Total revenue for 16 units - Total revenue for 15 units
= $416 - $420
= -$4
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Suppose that today you buy an 8 percent annual coupon bond for $1,060. The bond has 19 years to maturity. One year later, the YTM on your bond has declined to 6.4%, and you decide to sell. What is the HPY on your investment for the last holding period? A) 8.6%
B) 17.75%
C) 12.1% D) 16.1% E) None of Above
The HPY on your investment for the last holding period is 8%. (A) 8.6%
What is the Holding Period Yield (HPY) on your investment for the last holding period?To calculate the Holding Period Yield (HPY) on your investment for the last holding period, we need to consider the change in bond price and the coupon payments received.
Bond price at purchase = $1,060
Yield to Maturity (YTM) at purchase = 8%
YTM one year later = 6.4%
Coupon rate = 8%
Years to maturity = 19
First, let's calculate the coupon payments received during the holding period:
Coupon payment = Coupon rate * Bond price
Coupon payment = 8% * $1,060 = $84.80
Next, let's calculate the change in bond price:
Change in bond price = Bond price at sale - Bond price at purchase
Change in bond price = 100% - Bond price at purchase
Change in bond price = 100% - $1,060 = $0
Now, we can calculate the HPY for the last holding period:
HPY = (Coupon payment + Change in bond price) / Bond price at purchase
HPY = ($84.80 + $0) / $1,060
HPY = $84.80 / $1,060
HPY = 0.08 = 8%
Therefore, the HPY on your investment for the last holding period is 8%, which corresponds to option A) 8.6%.
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1. What PECs must she possess if there are customer who complain about the quality of her product???
a.patience
b. hardworking
c. versatile
d. all of the above
2.which of the following is not considered as a characteristics of an entrepreneur??
a.copes with failure
b. dependent
c.persistent
d. opportunity seeker
3.If she wants to ensure a profitable business operation, what characteristics will she maintain??
a.commitment
b.goal oriented
c.futuristic or future oriented
d. opportunity seeker
4.Mrs. Magno follows the advice of a friend to be flexible especially if she intends to open a retail business.
What PECs has been demonstrated by mrs. magno??
a.self confidence
b. reliable and has integrity
c.responsive to feedback
d. persistent
5.She tells mary , her best friend that she has a strong will and does not give up to find a solution to a business problem.
What PECs has been demonstrated by Mrs.Magno
a. hard work
b. persistence
c. self confidence
d. risk taking
Please I need help
Answer:
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A bond with a $2,000 face value, a 4% coupon rate and 3 years to maturity will pay the following cash flow if current market interest rates are 7%: In 1 year: _____, in 2 years: ______, in 3 years: ____.
A bond with a $2,000 face value, a 4% coupon rate and 3 years to maturity will pay the following cash flow if current market interest rates are 7%: In 1 year: $80, in 2 years: $80, in 3 years: $2,080. The correct option is B.
A bond with a $2,000 face value, a 4% coupon rate, and 3 years to maturity will pay the following cash flows if current market interest rates are 7%:
In 1 year, the bond will pay a cash flow of 4% of the face value ($2,000 * 0.04 = $80).
In 2 years, the bond will again pay a cash flow of 4% of the face value ($2,000 * 0.04 = $80).
In 3 years, the bond will pay the final cash flow consisting of the 4% coupon payment ($2,000 * 0.04 = $80) and the face value of the bond ($2,000), totaling $2,080.
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Complete question:
A bond with a $2,000 face value, a 4% coupon rate and 3 years to maturity will pay the following cash flow if current market interest rates are 7%: In 1 year: _____, in 2 years: ______, in 3 years: ____.
Question options:
a. $40, $40, $2,000
b. $80, $80, $2080
c. $140, $140, $2,140
Sales tax is calculated by multiplying the price of an item by the
withholding amount
income tax
tax rate
Answer:
tax rate
Explanation:
got it right on test
Disadvantages of choosing a job that is extremely popular or in demand
The disadvantage of choosing a job that is very popular or a job that is in high demand is that after a while such a job may become saturated or it would become monotonous.
What is a high demand job?This is the term that is used to refer to a job that the people that wpould employ labor are constantly in need of. Such a job is one that would require the people that have the qualification to opt in and get the places and the roles that they are to fill.
The issues that may arise from such a job that is in high demand is that after a period, such a job may have a lot of persons that would want to fulfil the role.
The number of qualified persons may become more than the job that is available for the people to do in the long run.
Hence this is a disadvantage. Therefore I would conclude by saying that the disadvantage of choosing a highly popular job is that the number of persons that are willing to fulfil the role may exceed the job overtime.
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Henry wrote 24 checks in April. The bank charges $0.15 a check.
The monthly service charge for the checking account is $5. What
is the total of the fees Henry pays in April on his checking
account?.
Answer:
$8.60
Explanation:
.15×24=3.60
3.60+5=8.60
drag the tiles to the correct boxes to complete the pairs. match each term to the situation that best describes it
Answer: Theirs nothing their too answer. What do you need help on?
Explanation:
PLEASE HELP RIGHT NOW
What is a benefit of investing in mutual funds? (CS18)
Investors' fees are waived because it is an ownership investment.
Investors are guaranteed a minimal amount of return.
Investors earn interest because it is a lending investment.
Investors have access to a fund manager's expertise.
The major advantage of investing in mutual funds is the investors have access to a fund manager's expertise. hence, Option D is the correct statement.
What are Mutual funds?An agency that collects money from many buyers and invests the money in securities including stocks, bonds, and short-term debt is called Mutual funds.
The mixed holdings of the mutual fund are called a portfolio. Investors purchase stocks in mutual funds.
Therefore, Option D is the correct statement.
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if wrex can produce more math problems per hour and more book reports per hour than maxine can, then wrex cannot gain from trading math problems and book reports with maxine.
A) True
B) False
True. It is correct that if wrex can create more math problems and book reports per hour than maxine can, wrex will not benefit from trading math problems and book reports with maxine.
If Wrex can create more math problems and book reports per hour than Maxine, then there is no benefit to Wrex from trading arithmetic problems and book reports with Maxine. With little to no impact on the solution, economists use assumptions to simplify problems.
The world can be more easily understood when assumptions are used. As a result of being too complex to comprehend, an economic model cannot accurately explain reality.
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Bob has a collision deductible of $500. He has Bodily Injury Liability coverage limit of $25,000. He hits another driver and injures her severely. The case goes to trial and there is a verdict to compensate the injured person for $40,000
a. How much does Bob have to pay?
b. How much does his insurance pay?
Bob will have to pay $500 for his collision deductible and additional $15,000 for the portion of bodily injury liability that exceeds his coverage limit $15,000. Therefore, Bob will have to pay a total of $15,500.
What is liability?Liability refers to the legal responsibility for one's actions or omissions that result in harm, damage, or loss to another party. In simple terms, liability means being accountable for something. Liability can arise from a wide range of circumstances, such as a car accident, a breach of contract, or a defective product. The party that is found to be liable is responsible for compensating the other party for any harm, damage, or loss they have suffered. Liability can be determined through various legal mechanisms, including contract law, tort law, and criminal law. In business, liability is an important concept to understand, as it can have significant financial and reputational consequences. Properly managing liability is essential for protecting oneself and one's business from potential legal claims.
Liability that exceeds= $40,000 - $25,000 = $15,000
Total= $500+ $15,000=$15,500
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John's company makes a great product and customers are happy with their purchases. Unfortunately, few potential customers visit the company's website. What are two ways that responsive search ads could help John's company reach more potential customers
Answer:
Explanation:
Responsive search ads can greatly increase the number of customers who make a purchase by doing two things. First, getting your product in front of people that have searched for a similar product or search terms that pertain to your product. Secondly, adjusting your product's ad description or headlines/text to match exactly what the customer is looking for while still staying true to what your product is and offers. This easily catches the customer's attention and convinces them to purchase the item since it is what they have been searching for.
In preparing a company's statement of cash flows using the indirect method, the following information is available:Net income $ 52,000Accounts payable decreased by 18,000Accounts receivable increased by 25,000Inventories increased by 5,000Depreciation expense 30,000Net cash provided by operating activities was:
Answer:
Statement of cash flows using the indirect method
Net income $52,000
Adjustments to net income:
Depreciation expense $30,000Increase in accounts receivable ($25,000)Increase in inventories ($5,000)Decrease in accounts payable ($18,000) ($18,000)net cash flow provided by operating activities $34,000
The Monarch Division of Allgood Corporation has a current ROI of 13 percent. The company target ROI is 9 percent. The Monarch Division has an opportunity to invest $5,700,000 at 11 percent but is reluctant to do so because its ROI will fall to 12.24 percent. The present investment base for the division is $9,300,000. Required Calculate the current residual income and the residual income with the new investment opportunity being included. Based on your answers to requirement a, should Monarch Division make the investment?
Calculate the current residual income and the residual income with the new investment opportunity being included.
Based on your answers to requirement a, should Monarch Division make the investment?
Answer and Explanation:
The computation is shown below:
Current residual Income is
= current investment base × (Current ROI - Target ROI)
= $9,300,000 × (13% - 9%)
= $9,300,000 × 4%
= $372,000
Now
New residual income is
= (New investment base) × (New ROI - target ROI)
= ($9,300,000 + $5,700,000) × (12.24% - 9%)
= $15,000,000 × 3.24%
= $486,000
Yes, Monarch division should make the investment because the new residual income is more than the present residual income
kendra has been working for harmon electronics as a quality-control inspector for three years. she learns that a coworker with less experience and less time with the company is earning more than she is. what role does kendra's coworker fulfill, according to the equity theory?
According to the equity theory comparison with other people, Kendra's coworker plays the position that is indicated.
What is equity theory?Equity theory focuses on determinative whether or not the distribution of resources is honest to each relative partners. Equity is measured by examination the magnitude relation of contributions (or costs) to advantages (or rewards) for every person. thought-about one amongst the justice theories, equity theory was 1st developed within the Sixties by J. Stacy Adams, a work and activity scientist, United Nations agency declared that staff look for to take care of equity between the inputs that they carry to employment and therefore the outcomes that they receive from it compared to the perceived inputs and outcomes of others. consistent with Equity Theory, so as to maximise individuals' rewards, we have a tendency to tend to make systems wherever resources may be fairly divided amongst members of a bunch.
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Morning light does not enter the swamp. Even the sunrise is dark. Still, time progresses, night into day
A picture of bayou country is deceiving Slow streams converge under mud to make the appearance of land that is actually water. One net of moss hangs from one hundred trees. Lightning strikes the
same stump many times.
People pass the swamp's fringes in trains, on tracks that cling to the last solid ground. Out of their windows are landscapes that take the earth's colors to every periphery, Bright orange sunsets
surround people like sky on an airplane. On gray foggy mornings they ride through a dream that has no beginning or end. But time has its limits, these people know. They are expected places--Memphis
by midnight, New Orleans by dawn
Deep in the swamp, animals keep the only appointments Birds gather at high places in trees. Raccoons make their last noisy passes for food across someone's back porch before he awakes. Fish all
around splash up, although they cannot see the morning coming to clean the picture of day like clothes bleaching in a galvanized tub from dark gray to light gray
Joan looked out from the porch to the swamp she had known all her life. Ahead of her in the veiled light were the outlines of many trees. Below and around her were the crisp sounds of nature
awakening Cupped in both hands, perched on her knees was a warm mug of coffee.
Which of the following can the reader infer from the passage above?
O Travelers sleep throughout the journey.
O The ride is for airplane passengers to see the sky.
O Travelers lose their sense of the outside world.
Answer:
Travelers lose their sense of the outside world.
Explanation:
Study Island
Why don't many developing countries benefit from the spread of free trade?
O A. They don't possess important natural resources.
O B. They cannot afford to give foreign aid.
C. They have large trade deficits.
O D. They have weak domestic industries.
Import and export restrictions are not present in a free trade system. It can also be seen as the free market concept implemented in global trade. Hence option A is correct .
What is Free Trade ?Political parties with economic liberal stances are more likely to support free trade than economic nationalist and left-wing parties, who typically support protectionism, which is the antithesis of free trade.
Today, the majority of countries participate in multilateral trade agreements through the World Trade Organization. The unilateral action of Great Britain, which from the middle of the 19th century through the 1920s decreased import and export controls and levies, served as the best example of free trade.
An alternate strategy is to establish free trade zones between groups of nations through agreements, like the European Economic Area and the open markets of Mercosur.separates that free trade zone from the rest of the world by building a protectionist wall. Most governments continue to enact protectionist measures like charging tariffs to imports or providing export subsidies in an effort to support local jobs.
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Managemnet is not only art and science but also a profession.Explain
Answer:
Art is wonderful art is beautiful are is mysterious art is so much more...
An individual reports the following capital transactions in the current year: Short-term capital gain $ 1,000 Short-term capital loss 11,000 Long-term capital gain 10,000 Long-term capital loss 6,000 What amount is deducted in arriving at adjusted gross income
Answer: $6000
Explanation:
The amount that is deducted in arriving at adjusted gross income will be calculated thus:
Short term capital gain = $1000
Less: Short term capital loss = $11000
Net short term loss = -$10000
Long term capital gain = $10000
Less: Long term capital loss = $6000
Net long term gain = $4000
Then, the amount that is deducted in arriving at adjusted gross income will be:
= $10000 - $4000 = $6000
The ________ Model, also known as the data mart approach, is a "plan big, build small" approach. A data mart is a subject-oriented or department-oriented data warehouse. It is a scaled-down version of a data warehouse that focuses on the requests of a specific department, such as marketing or sales.
The Top-Down Model, also known as the data mart approach, is a "plan big, build small" approach. A data mart is a subject-oriented or department-oriented data warehouse.
It is a scaled-down version of a data warehouse that focuses on the requests of a specific department, such as marketing or sales.What is the Top-Down Model?The top-down approach, also known as the enterprise data warehousing approach, is a method for data warehousing that entails creating a large, comprehensive data warehouse for the entire organization.
The data is then extracted, transformed, and loaded (ETL) from the data warehouse to data marts that cater to specific departments' specific data requirements.Moreover, the top-down approach is usually employed when a corporation has more than 100 end-users who need reports and analyses based on the data housed in the data warehouse.
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You are opening a store, and having a working website is an important part of your project plan. The company that started creating your website went out of business before completing the job.
What components of your project plan will be affected?
Budget and time
Ethics and piracy
Ideas and creativity
Policies and procedures
Answer:
ethics and piracy if not let me know