The characteristic that relates to a group is option A: two or more individuals who communicate with one another, share a collective identity, and have a common goal.
A group refers to a collection of individuals who come together and interact with one another. They share a sense of belonging and have a shared purpose or objective that they work towards. Communication plays a crucial role within a group as members exchange information, ideas, and perspectives to achieve their common goal. The collective identity of the group helps establish a sense of unity and cohesion among its members.
Option A: Two or more individuals who communicate with one another, share a collective identity, and have a common goal is the correct answer.
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When making decisions, managers often must decide between doing what is beneficial for the firm in the short term, and what is beneficial for both the firm and society in the long term. To address this conflict, a firm must
When making decisions, managers are often faced with a conflict between what is beneficial for the firm in the short-term and what is beneficial for both the firm and society in the long-term.
This conflict arises because the actions that benefit the firm in the short-term may not necessarily align with the interests of society as a whole, which can lead to negative consequences for both the company and society in the long-term.
To address this conflict, a firm must adopt a long-term orientation and consider the broader social and environmental impacts of its decisions. This means looking beyond immediate financial gains and recognizing that actions taken today can have far-reaching implications for the company's reputation, customer loyalty, employee morale, and overall sustainability.
Firms that prioritize social responsibility and sustainable business practices are more likely to build strong relationships with stakeholders, including customers, employees, investors, and regulators. They are also better equipped to weather economic downturns and other disruptions, as they have diversified their risk and invested in building resilient supply chains and communities.
Ultimately, the key to addressing the conflict between short-term gains and long-term benefits is a commitment to corporate social responsibility (CSR) and sustainable business practices. By prioritizing the needs of society and the environment alongside those of shareholders, firms can create value for all stakeholders over the long-term, ensuring their continued success and impact.
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The national fair housing alliance has concerns about whether or not programs meant to address the financial and mortgage crisis are ______.
The national fair housing alliance has concerns about whether or not programs meant to address the financial and mortgage crisis are adequate.
They may question whether these programs effectively support those affected by the crisis, provide sufficient relief, and address systemic issues that contributed to the crisis. Ensuring fair and equitable access to housing assistance and financial relief is crucial in tackling the challenges posed by such crises.
In addition to questioning the adequacy of programs meant to address the financial and mortgage crisis. It is crucial to examine whether these programs are reaching and effectively supporting those most affected by the crisis, including marginalized communities and vulnerable populations.
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Which of the following describes interest compound on the principle, excluding previously earned interest?
a- future value
b- present value
c- simple interest
d- compunding
Answer:
c- simple interest
Explanation:
Simple interest is the interest attained on the principal amount only. It is expressed as a percentage of the principal amount. Because the principal amount does not change, and the interest rate remains constant, the simple interest amount is a constant figure throughout the investment life.
Simple interest contrast compound interest that earns interest on previously earned interest.
What does the term 'user
experience' refer to regarding a
website?
A. the overall ease of navigation and ability to
purchase on a company's website
B. the general experience a customer has when
using a product of a business
C. the customer experience when dealing with
customer service representatives
Answer:b
Explanation:
Stephen Chemical produces chemicals that are sold to consumer product manufacturerers, such as Procter and Gamble, as raw materials in the manufacturing processes to create shampoos and detergents. Stephan's chemicals are known as ______________ products.
Stephen Chemical produces chemicals that are sold to consumer product manufacturers, such as Procter and Gamble, as raw materials in the manufacturing processes to create shampoos and detergents. Stephan's chemicals are known as Business products.
What are Business Products?Business products are goods and services that businesses buy to run their operations or to manufacture their own goods. Business products are categorized differently than consumer goods because they are used rather than based on consumer purchasing patterns.Business products, in other words, are the things and services that people wish to purchase in order to outfit their homes, operate their own enterprises, sate their needs for supplies in their churches, schools, stadiums, and factories, as well as to generally keep the world moving ahead.The provision of raw materials, which are directly extracted from the environment, marks the start of the manufacturing process.Raw materials, machinery, accessories, supplies, and commercial services are a few examples of business products. Companies utilize business software to assist essential company operations.To learn more about Business Products refer to:
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consider a two-country two-good model where labor is the only factor of production. each country faces an increasing-cost production-possibility curve. in this model the amounts of both goods that are produced in a country in no-trade situation are determined by:
The H-O model is a two-country, two-good, two-factor model that presumes production processes differ in their factor intensities, while countries differ in their factor abundancies.
The Heckscher-Ohlin model is an economic theory that suggests that nations export what they can most efficiently and plentifully produce. The standard emphasizes the exports of goods needing factors of production that a country has in surplus. It also underlines the import of goods that a nation cannot produce as efficiently. It takes the situation that countries should ideally export materials and resources of which they have an extra, while proportionately importing those aids they require.
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Need help please
Please graph
Graphically show how each of the following events affect nominal
interest rates. (a) Recession hits the economy (b) Federal Reserve
tries to decrease the asset prices
During a recession or economic downturn, nominal interest rates tend to decrease as demand for borrowing and investment declines. This is because businesses and individuals are less willing or able to take on debt or make new investments. Conversely, during periods of economic growth and expansion, nominal interest rates may increase as demand for borrowing and investment rises.
(a) Recession hits the economy:
During a recession, there is a decrease in economic activity, which typically leads to a decrease in the demand for borrowing and investment. This can be represented graphically as a leftward shift in the demand for loanable funds curve (DLF). The decrease in demand for loanable funds leads to a decrease in the equilibrium nominal interest rate.
(b) Federal Reserve tries to decrease asset prices:
When the Federal Reserve tries to decrease asset prices, it does so by implementing contractionary monetary policy measures such as selling government bonds or raising interest rates. This leads to a decrease in the money supply and an increase in the cost of borrowing. Graphically, this can be represented as a leftward shift in the supply of loanable funds curve (SLF). The decrease in the supply of loanable funds leads to an increase in the equilibrium nominal interest rate.
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There are several steps you can take to reduce the potential of being a victim
of consumer fraud, including.
Answer:
Here are some steps to be taken to avoid being a victim of consumer fraud:
Spot Imposters: Scammers often pretend to be someone else, especially one you can trust, like a government official.Online searching: Search about the company of product online to see if it is legit or not.Don't pay in advance: Scammers always try to get money in advance, in terms of taxes or fees.Discuss with someone: Before giving someone your money, talk to someone you trust or preferably to an expert.Personal information: Don't given any unknown person your personal information, money, or any kind of financial detailsWhat are the differences between flexibility and compromise
Answer:
Flexibility mean you're more flexible about doing something. For example you could have flexible working hours which would mean you can work alot of the time like you can bend easily around when you work and compromise means you're wiling to meet in the middle so an agreement made that makes everyone happy.
In parliamentary procedure, a meeting begins when the chair person says which of the following phrases?
a. We will now begin the meeting.
b. The meeting has been called.
C. The meeting will now come to order.
d. There shall be order and commencement.
Answer:
c
Explanation:
got it right on test
In parliamentary procedure, a meeting begins when the chairperson says The meeting will now come to order. Thus option A is correct.
What is parliamentary procedure?A parliamentary system, sometimes known as a parliamentarian system, is a method of democratic government whereby the executive branch obtains the backing of the legislative, usually a parliament, to whom it is answerable.
A really well agenda results in shorter sessions that go more smoothly. The topics that will be covered in what order should be listed on the agenda. Establish a priority list if there are multiple critical items.
Ahead-of-time preparation and the use of agendas is preferred by some boards. This was stating that there will be a commencement. Therefore, option A is the correct option.
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There commencement.
When the economy is in short-run equilibrium, Question 8 options: there are increases in inventory. there are decreases in inventory. total expenditures equal total production. people want to buy more than will be produced.
Answer: total expenditures equal total production.
Explanation:
If an economy is going through a short-term equilibrium, it means that people/ consumers are buying/ demanding the same amount of goods being produced in the market.
Total expenditure shows the amount people spend on goods and services and total production shows the total amount produced. If these two are equal then the situation above holds true as it means that consumers are demanding the same quantity of goods and services produced.
One of the challenges Uniqlo faced when moving to large cities in the United States was the expense of maintaining a building location in a downtown area that would be big enough to house all of the products it wanted to sell. This is an issue with:
The issue above, where expense of maintaining a building location in a downtown area serves as challenge that was faced by Uniqlo can be attributed to Capital requirements.
What is Capital requirements?Capital requirements can be regarded as the regulatory standards for banks, and this put them on check about how much liquid capital they must keep on hand.
Capital requirements is been used as a tool to tighten an economic after recession.
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Which examples demonstrate common qualifications for Security and Protective Services careers? Check all that apply.
Brooke negotiates with the prison inmates she supervises.
Ami is comfortable working alone and making decisions in her work as a Private Detective.
Reed thinks of creative solutions for defending a client in court.
Vincenzo attends college for many years and earns a juris doctor degree.
Shameka watches for unusual activities and signs of danger as she guards a bank building.
Teddy is a Lifeguard who uses his strength to pull a person out of the water.
Answer:
2,5,6
Explanation:
Ami,shameka,teddy
Answer:
2,5,6
Explanation:
the fundamental objective in setting transfer prices is to motivate managers to act in the best interest of blank . multiple choice question. the overall company the service departments within the organization their own department
The fundamental objective in setting transfer prices is to motivate managers to act in the best interest of the overall company. So the overall company is the correct option of the given statement.
What does transfer pricing entail and why is it significant?With two or more enterprise associate parties, transfer pricing is applicable. A conflict of interest is not in doubt because they are operating as though they are unrelated. This can simply be described as a contract between two unrelated parties.
What three categories of transfer pricing exist?Market-based transfer pricing, cost-based transfer prices, and negotiated transfer prices are the three main methods that businesses can use to set transfer prices.
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For the tax year, Ashes to Dust, a partnership, reported a $75,000 ordinary loss and a $29,000 increase in recourse liabilities for which the partners are liable. Dustin, a 50% partner, had an adjusted basis of $16,000 at the beginning of the year. What is Dustin's allowable loss and his adjusted basis in Ashes to Dust at the end of the year? a. Allowable loss: $8,000. Adjusted basis: $7,000. b. Allowable loss: $16,000. Adjusted basis: $0. c. Allowable loss: $30,500. Adjusted basis: $0
Dustin's allowable loss is $30,500. and his adjusted basis is $0 in Ashes to Dust at the end of the year. Option c. Allowable loss: $30,500. Adjusted basis: $0 is correct.
To calculate Dustin's allowable loss and adjusted basis in Ashes to Dust, we need to consider his share of the partnership's loss and any changes in his adjusted basis.
Allowable Loss:
Dustin's allowable loss is determined by his percentage share in the partnership. In this case, Dustin is a 50% partner. Therefore, his allowable loss would be 50% of the partnership's ordinary loss of $75,000, which is $37,500.
Adjusted Basis:
The adjusted basis at the beginning of the year was given as $16,000. We need to account for the increase in recourse liabilities for which the partners are liable. The increase in recourse liabilities was $29,000.
Since the partners are liable for the recourse liabilities, Dustin's adjusted basis is reduced by his share of the increase. Since Dustin is a 50% partner, his share of the increase in recourse liabilities is 50% of $29,000, which is $14,500.
To calculate Dustin's adjusted basis at the end of the year, we subtract his allowable loss from his adjusted basis at the beginning of the year:
Adjusted Basis at the end of the year = Adjusted Basis at the beginning of the year - Allowable Loss
= $16,000 - $37,500
= -$21,500.
However, since the adjusted basis cannot be negative, Dustin's adjusted basis at the end of the year is considered zero.
Therefore, the correct answer is c. Allowable loss: $30,500. Adjusted basis: $0.
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Snail corporation filed its 2022 form 1120-s on february 20, 2024. Snail is a calendar-year taxpayer with 5 shareholders. What amount will snail owe for failure to file on time?
Snail corporation filed its 2022 form 1120-s on February 20, 2024. Snail is a calendar-year taxpayer with 5 shareholders. $36,900 amount will snail owe for failure to file on time.
Who is a shareholder?
A person or organisation that has contributed funds to a corporation in exchange for a share of ownership is referred to as a shareholder. Common or preferred shares issued by the corporation and held (i.e., owned) by the shareholder serve as a representation of that ownership.
What is a shareholder's function?
The shareholder, who also controls how the directors run the business and is responsible for the company's financial stability, also gets a cut of any profits the business makes.
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Why would you write a complaint to a company?
Answer:
To discuss with a company about a problem you may be having with their service or product.
Explanation:
joe (55) and gail (49) are filing jointly for 2021. joe earned $40,000, and gail earned $2,500. joe may contribute up to $7,000 to his ira for 2021. if joe contributes $5,000 to his ira, how much can they contribute to gail's ira for 2021?
If joe (55) and gail (49) are filing jointly for 2021. joe earned $40,000, and gail earned $2,500 and joe may contribute up to $7,000 to his ira for 2021. if joe contributes $5,000 to his ira, the amount they contribute to gail's ira for 2021 is $2,000.
How to determine their contribution?Using this formula to find their contribution
Contribution to gail ira = 2021 Amount Joe contributed to his IRA - Amount that Joe contributed
Where:
2021 Amount Joe contributed to his IRA =$7,000
Amount that Joe contributed = $5,000
Let plug in the formula
Contribution to gail ira = $7,000 - $5,000
Contribution to gail ira = $2,000
Therefore the Contribution to gail ira is the amount of $2,000.
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Part A: On 1st February 2020 an Australian Company purchased inventory from an overseas customer for a price of FC$100,000. Payment was made on 1st June. Exchange rates were: 1st February $A 1.00 = $FC 2.50, 1st June $A 1.00 = $FC 2.00
Record the journal entry/entries for the purchase on 1st February.
Then record the journal entry/entries for on 1st June (when payment is made, remembering there may be a gain or loss as well as the payment).
Part B: On 1st January 2020 Edward Enterprises (an Australian business) contracted to sell inventory to a buyer in the USA. The inventory is to be delivered on 22nd March 2020. $100,000 USD is receivable on delivery. Edward Enterprises takes out a forward contract on 1st January 2020 to sell $100,000 USD on 22nd March 2020 at AUS/USD of $1.45. At 22nd March the spot rate is $1.75 (actual rates are being used).
Record the journal entry/entries for Edward for the receipt from the sale on 22nd March when the inventory is delivered.
Then record the journal entry/entries for the cash settlement of the hedge (the derivative) on 22nd March.
With hindsight, discuss if Edward Enterprises made the ‘right’ financial decision in taking out a hedge (derivative, forward contract).
Journal entry for purchase on 1st February:DateAccountsDebitCreditFeb 1Purchases$100,000Accounts payable$100,000Journal entry for payment on 1st June:DateAccountsDebitCreditJune 1Accounts payable$100,000Exchange gain$12,500Cash at bank$112,500.
Journal entry for receipt of the sale on 22nd March:DateAccountsDebitCreditMarch 22Cash at bank (USD)$100,000Exchange gain$30,000Sales (inventory) (AUD)$145,000Journal entry for cash settlement of the hedge on 22nd March:DateAccountsDebitCreditMarch 22Accounts payable$135,000Cash at bank$135,000.
Yes, Edward Enterprises made the ‘right’ financial decision in taking out a hedge (derivative, forward contract). Edward Enterprises was able to sell $100,000 at a rate of AUD 1.45, even though the spot rate was AUD 1.75 on March 22. It was able to benefit from the difference between the hedge rate and the spot rate, resulting in a gain of AUD 30,000 ($100,000 × (AUD 1.75 - AUD 1.45)).
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how does an increase in income increase tax revenue
Answer:
An increase in income will increase tax revenue because the more taxes and tax write-offs will lead to more in tax returns.
Explanation:
The more income you make the more taxes you will pay, after write-offs you will end up earning more back in tax returns than you would if you made less
venta al contado de mercancia por $2.300.000=; iva: 19%: cual de las siguientes cuentas no corresponde
a. de mercancia
b. comercio al por mayor y por menor
c. iva
d. caja
Answer:
La cuenta que no corresponde al registro contable planteado es la B, comercio al por mayor y por menor.
Esto es así porque, al realizarse una venta al contado de mercancía por $2.300.000, con un IVA adicional del 19%, se están entregando mercancías, con lo cual se registra dicha salida de productos en el debe (opción A), ingresa un dinero correspondiente a IVA (opción C), y a su vez ingresa un monto de dinero que engrosará la caja del comercio, registrándose en el haber (opción D).
The three major categories included on the statement of cash flows are _____. investing, operating, and financing activities investing, capital, and financing activities investing, operating, and contracting activities financial, operating, and internal control activities
Operating activities, investment activities, and financing activities make up the three divisions of cash overflows.
Cash- related net income activities are included in operating activities. Cash- related non-current asset activities are included in investing. Long- term investments, property, factory, and equipment, as well as the principal sum of loans to other companies, are all exemplifications of non-current means. This order includes effects like money admitted through the trade of land and money invested in another business.( Remember that interest from loans is counted as part of operating activities.) Cash deals involving possessors' equity and non-current liabilities are considered financing activities. The principal balance of long- term debt, stock sales and repurchases, dividend payments, and long- term debt interest payments are among the non-current liabilities and possessors' equity factors.
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A company BB Ltd makes a product, selling for 20 pence - a can of baked beans. A major supermarket who currently buys their baked beans from a rival baked bean company asks BB Ltd if they will provide them with ‘Own Label’ baked beans for 16 pence a can, the costs of manufacture are as follows:
BB Baked Beans: Costs per can
Direct Materials 4p
Direct Labour 4p
Variable Overheads 3p
FO 4p
Manufacturing Absorption Cost 15p
Advertising 1p
Transport costs (variable) 1p
Total Cost 17p
Should they supply the Supermarket at this price (16p)?
What reservations would you have?
The total cost of the product is estimated to be 17p. Meanwhile, the idea of supplying it at 16p is not a sensible choice to make in order to be profitable. The product should be supplied at a price so that the business can cover its costs and earn profits from it.
The product must be supplied at a price that is higher than its cost.
They should keep a profit margin of at least 1 penny or higher.
What is the importance of TNC for developing countries?.
Transnational Corporations (TNCs) have been discovered to serve international economies by acquiring multinational managerial, technical, and behavioral skills and resources, and they have made significant contributions to the economic development processes of many developed and developing countries.
What impact do TNCs have on underdeveloped countries?
Concerns about the environment - TNCs can harm the atmosphere, water, and land. Many developing countries have less stringent pollution laws than developed countries.
Why are multinational firms crucial in a country's development?
They not only bring technological advancements, but also organizational structures. Other companies can raise their management levels because national standards rise once corporations begin operating in this country. Another role can be seen in the increased circulation of money in the economy.
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which of the following is an advantage of using a perpetual inventory system? a. it is effective with hand-written inventory cards. b. it is less time consuming than other methods. c. it is able to detect when errors are made. d. it is relatively easy and inexpensive to set up.
The advantage of using a perpetual inventory system is that it is able to detect when errors are made. This is because the system keeps track of inventory levels in real-time, automatically updating as new inventory is received or sold.
With this constant monitoring, any discrepancies between the recorded inventory levels and the actual levels can be quickly identified and addressed. This helps to prevent stockouts, overstocking, and other inventory-related issues that can negatively impact a business's bottom line.
While the other options listed may also have some advantages, they do not provide the same level of accuracy and efficiency as a perpetual inventory system. For example, using hand-written inventory cards can be error-prone and time-consuming, while other methods may require more manual data entry and reconciliation.
Additionally, while a perpetual inventory system may require some initial setup and investment, it ultimately saves time and money in the long run by streamlining inventory management processes and reducing the risk of costly errors.
Therefore, the most significant advantage of a perpetual inventory system is its ability to provide accurate and up-to-date information on inventory levels, allowing businesses to make informed decisions and optimize their operations.
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julie's policy includes a $500 deductible and a coinsurance provision requiring her to pay 20 percent thereafter. her medical bills total $5,500. what amount is she required to pay personally? question 35 options: 1) $1,000 2) $500 3) $5,000 4) $1,500
The amount Julie is required to pay is 1500. Hence, the correct option choice for this question will be $1,500.
What is a liability?A debt that a person or company has, often in the form of money, is referred to as a liability. Liabilities are finally paid through the transfer of economic advantages like money, goods, or services. On the balance sheet's right side, liabilities are things that include debts like loans, accounts payable, mortgages, deferred revenue, bonds, warranties, and accumulated expenses.
Liabilities and assets can be contrasted. Liabilities are things you have borrowed money from or owe money on; assets are things you own or owe money on. Non-current liabilities are typically viewed as long-term obligations because they are anticipated to last more than a year.
To solve the question :
Given,
Deductible = $500
Total medical bills = $5,500
Paying percentage = 20%
The amount Julie is required to pay is :
Payable amount = Deductible + 20% (total bill - deductible)
Converting % to decimal :
20% = 20/100
= 0.20
= $500 + .20 ($5,500 - $500)
= 500 + (0.20 × 5000)
= 500 + 1000
= 1500
Hence, Julie is required to pay is 1500.
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If a 10% increase in price leads to a 40% decrease in quantity demanded, what is the value of price elasticity of demand? Show your work.
Which of the following will cause the demand for a good or service inelastic?
Having few substitutes
A longer time period
Being a luxury
Being a large share of the consumer's budget
If the price elasticity of demand is equal to 0.5, is demand elastic, inelastic, or unitary elastic?
Will a perfectly elastic supply curve be vertical, horizontal, or upward-sloping?
What price elasticity of supply will lead to a smaller increase in quantity when price changes— elastic, inelastic, or unitary elastic?
The Price elasticity answers are:
The value of price elasticity of demand is equal to four if a 10% rise in price results in a 40% reduction in the amount that is desired. "Being a substantial percentage of the consumer's budget" is the reason why there is an inelasticity in the demand for a certain commodity or service. alternative D Is demand considered "inelastic" if the price elasticity of demand is equal to 0.5? The supply curve for a completely elastic economy is horizontal. The price elasticity of supply is inelastic, which means that a rise in price will result in a less significant increase in quantity.How to determine the elasticity of demand with respect to priceThe price elasticity of demand is equal to the percent change in demand divided by the percent change in price.
x= \(\frac{40 \%}{ 10 \%}\)
x=\frac{ 0.4}{ 0.1}
x= 4
A scenario is said to have inelastic demand when there is no proportionate change in the demand for products and services among customers in response to a change in the price of such goods and services.
The supply curve that is horizontally aligned with the demand curve represents a completely elastic supply curve.
In conclusion, the degree to which demand is sensitive to a change in price may be measured by looking at something called the price elasticity of demand.
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You have borrowed $20,000 at an interest rate of 10% compounded annually. Equal payments will be made over a three-year period with each payment made at the end of the corresponding year. What is the amount of the annual pay-ment? What is the interest payment for the second year?
The annual payment for this loan is $8,043.71. The interest payment for the second year is $2,000.
To find the annual payment, we can use the formula for the present value of an annuity: PV = PMT [(1 - (1+i)^(-n))/i]
where:
PV = present value of the loan
PMT = annual payment
i = interest rate
n = number of periods
Plugging in the given values, we get:
20,000 = PMT [(1 - (1+0.10)^(-3))/0.10]
Solving for PMT, we get:
PMT = 20,000 / [(1 - (1+0.10)^(-3))/0.10]
PMT = 8,043.71
Therefore, the annual payment is $8,043.71.
To find the interest payment for the second year, we can use the formula for the interest portion of an annuity payment:
IP = PV(i) - PMT
Where:
IP = interest payment
PV = present value of the loan at the beginning of the period
PMT = annual payment
i = interest rate
For the second year, the present value of the loan at the beginning of the period is the remaining balance after the first payment:
PV = 20,000(1+0.10) - 8,043.71
PV = 13,956.29
Plugging in the values, we get:
IP = 13,956.29(0.10) - 8,043.71
IP = 1,395.63 - 8,043.71
IP = -6,648.08
Therefore, the interest payment for the second year is $2,000.
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Design app concept about Hotel Management System in app.moqups
Here's a guide on how to design an app concept about Hotel Management System in app.moqups.
Step-by-step guide:1. Create a new project in app. moqups and choose the device type you want to design for, such as a mobile phone or tablet.
2. Add a background image that represents a hotel or a hotel room.
3. Start by creating a landing page with the name and logo of the app and the main functionalities of the app. This page should also include a search bar to search for hotels.
4. Design a search results page that displays a list of hotels based on the user's search criteria, such as location, price, and ratings. Each hotel listing should include an image, name, description, and rating.
5. Create a hotel details page that displays more information about the hotel, such as the amenities, room types, rates, and availability. This page should also include a booking button that takes the user to a booking page.
6. Design a booking page that allows the user to select the check-in and check-out dates, the number of rooms and guests, and the payment method. This page should also include a summary of the booking details and a confirmation button.
7. Create a profile page that allows the user to manage their bookings, view their booking history, and update their personal information.
8. Design an admin dashboard that allows the hotel staff to manage the bookings, view the occupancy rates, and update the room availability. This dashboard should also include a messaging system that allows the staff to communicate with the guests.
9. Add additional features such as a review system, loyalty program, and chatbot that provides customer support. Hopefully, this step-by-step guide helps you to design an app concept about Hotel Management System in app.moqups.
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cash flow is concerned with the direction of money as it moves in and out of a company. true or false?
The given statement "Cash flow is concerned with the direction of money as it moves in and out of a company" is true because cash flow is the amount of money that flows in and out of a business.
The cash flow statement provides information on a company's cash inflows and outflows.
It is an essential tool for assessing a company's financial health. Cash inflows are the money that comes into the company, such as sales or investments. Cash outflows are the money that goes out of the company, such as expenses, wages, and taxes. By examining the cash flow statement, stakeholders may evaluate a company's financial position and determine whether it has enough cash to continue operations or expand the business.The statement is true that cash flow is concerned with the direction of money as it moves in and out. This inflow and outflow of cash is the basis of any organization operational efficiency. Inflow of cash ensures timely availability of resources and outflow of cash means that we are able to purchase the raw materials required for the operations.
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