The value of the swap from your perspective is a payment of $1,425,000.
To calculate the value of the swap, first determine the fixed-rate payment that would be required to make the present value of the fixed-rate payments equal to the present value of the floating-rate payments. Using the 1-year LIBOR rate of 5.75% per annum, the present value of the floating-rate payments is $1,540,625.
Then, using the given LIBOR rates and the continuous compounding formula, the present value of the fixed-rate payments is $2,965,625. Therefore, the fixed-rate payment required to make the present value of the fixed-rate payments equal to the present value of the floating-rate payments is $1,425,000.
As the fixed-rate payment is to be paid by you, the value of the swap from your perspective is a payment of $1,425,000.
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he total asset market value of general motors (gm) is $10 billion. gm has an equity market value (market capitalization) of $7 billion of equity. what are the weights in equity and debt that are used for calculating the wacc, respectively? group of answer choices 0.7, 0.3 0.6, 0.4 0.2, 0.8 0.3, 0.7
Option a is correct. The weights in equity and debt that are used for calculating the WACC are 0.7, 0.3 respectively.
Calculating the equity and debt weights that are utilized to get the WACC, respectively
computation of equity weights
Weights in equity = $7,000,000/$10,000,000
Equity weights = 0.70
As a result, the equity weights will be 0.70.
Estimation of debt
Debt = ($10,000,000 - $7,000,000) / ($10,000,000)
Debt = $3,000,000/10,000,000
Debt= 0.30
As a result, 0.30 will be the debt used to calculate the WACC.
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How might a purchasing manager influence his company's corporate social respoinsiblity reputation?
A purchasing manager can influence his company's corporate social responsibility (CSR) reputation by implementing sustainable and ethical procurement practices and fostering supplier relationships based on CSR principles.
A purchasing manager plays a crucial role in shaping a company's CSR reputation through their procurement decisions and practices. Here are three ways in which a purchasing manager can influence their company's CSR reputation:
1. Sustainable Procurement: By prioritizing sustainable sourcing and environmentally friendly practices, a purchasing manager can select suppliers who adhere to sustainable standards. This includes evaluating suppliers' environmental policies, assessing their carbon footprint, and promoting the use of eco-friendly materials and processes. By integrating sustainability into the supply chain, the purchasing manager can contribute to the company's CSR reputation and its commitment to environmental responsibility.
2. Ethical Supplier Relationships: A purchasing manager can foster relationships with suppliers who uphold ethical practices, such as fair labor conditions, human rights, and diversity and inclusion. By conducting thorough supplier evaluations and audits, the purchasing manager can ensure that suppliers align with the company's values and CSR goals. Building long-term partnerships with socially responsible suppliers not only enhances the company's reputation but also promotes positive social impact throughout the supply chain.
3. Collaboration and Transparency: The purchasing manager can actively engage with suppliers, stakeholders, and internal teams to promote transparency and collaboration on CSR initiatives. By sharing information, best practices, and CSR goals with suppliers, the purchasing manager can encourage them to align their practices with the company's CSR objectives. Additionally, the purchasing manager can participate in industry initiatives, collaborate with NGOs, and contribute to sustainability reporting to enhance the company's CSR reputation on a broader scale.
By integrating sustainable and ethical principles into procurement processes, fostering responsible supplier relationships, and promoting transparency and collaboration, the purchasing manager can significantly influence the company's CSR reputation and contribute to its overall sustainability efforts.
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What term is used to describe using the collective intelligence of a group to reach a collectively wise decision?.
Collective wisdom is the term used to describe using the collective intelligence of a group to reach a collectively wise decision.
Collective intelligence is shared or organization intelligence that emerges from the collaboration, collective efforts, and opposition of many people and appears in consensus choice making. The term seems in sociobiology, political science and in context of mass peer evaluation and crowdsourcing applications.
Collective intelligence is the procedure by using which a large organization of individuals gather and percentage their expertise, records and competencies for the reason of fixing societal issues.
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Fuzzy Monkey Technologies, Inc., purchased as a long-term investment $60 million of 6% bonds, dated January 1 , on January 1 , 2021. Management has the positive intent and ability to hold the bonds until maturity. For bonds of similar risk and maturity the market yield was 8%. The price paid for the bonds was $46 million. Interest is received semiannually on June 30 and December 31 . Due to changing market conditions, the fair value of the bonds at December 31,2021 , was $50 million. Required: 1. to 3. Prepare the relevant journal entries on the respective dates (record the interest at the effective rate).
4. At what amount will Fuzzy Monkey report its investment in the December 31,2021 balance sheet? 5. How would Fuzzy Monkey's 2021 statement of cash flows be affected by this investment? (If more than one approach is possible, indicate the one that is most likely.)
Fuzzy Monkey Technologies purchased $60 million of bonds for $46 million, with a fair value of $50 million at December 31, 2021, impacting the balance sheet and statement of cash flows through interest income and changes in fair value.
On January 1, 2021, Fuzzy Monkey Technologies, Inc. purchased $60 million of 6% bonds for $46 million. The journal entry to record the purchase is as follows:
Investment in Bonds $46,000,000
Cash $46,000,000
Interest is received semiannually, so on June 30, 2021, Fuzzy Monkey would record interest income based on the effective interest rate. Assuming a 360-day year, the calculation for interest income is ($60,000,000 * 6% * 181/360), resulting in $1,810,000. The journal entry is as follows:
Cash $1,810,000
Interest Income $1,810,000
On December 31, 2021, the fair value of the bonds is $50 million. Since Fuzzy Monkey intends to hold the bonds until maturity and the fair value represents an unrealized gain, no adjustment is made to the carrying value of the bonds. However, the fair value adjustment is disclosed in the financial statements.
The investment in bonds will be reported at fair value, which is $50 million, on the December 31, 2021, balance sheet. Regarding the statement of cash flows, the interest income received will be included as operating cash inflow, while changes in the fair value of the bonds will not impact cash flows as they represent unrealized gains/losses. Therefore, the investment in bonds will primarily affect the operating section of Fuzzy Monkey's 2021 statement of cash flows.
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Business Application Identify the common testing procedures for the SDLC implementation at your organiza- tion. Evaluate whether they address the need for security with passive system code scanning. Evaluate the need for penetration testing and whether this has been done in the past. If penetration testing is not part of the SDLC process at your organization, identify a feasible solution for actively testing new software systems for compromise.
The Software Development Life Cycle (SDLC) is a methodology used for developing information systems and software applications. It encompasses several stages, each with its own testing procedures to ensure application quality. These stages include planning and requirements, design, implementation and development, and maintenance. Evaluating the testing procedures for security is crucial to enhance application security and integrity. This evaluation includes passive system code scanning, penetration testing, and actively testing new software systems for compromise.
1 ) Passive System Code Scanning:
- Passive code scanning is currently not included in the testing procedures.
- Incorporating passive code scanning is necessary to analyze software code for vulnerabilities and weaknesses.
- Passive code scanning enhances security by detecting potential exploits that could be used by hackers.
2 ) Penetration Testing:
- Penetration testing simulates real-world cyberattacks to assess application security.
- It is an essential step in the SDLC testing procedures.
- Penetration testing identifies vulnerabilities and weaknesses.
- If not previously conducted, it is crucial to include penetration testing in the SDLC to ensure application security.
3 ) Feasible Solution for Actively Testing New Software Systems for Compromise:
- The recommended approach is to employ a third-party penetration testing service.
- Third-party penetration testers specialize in testing software applications for vulnerabilities.
- They conduct comprehensive testing and provide detailed reports on weaknesses and vulnerabilities.
- Using a third-party service ensures active testing of new software systems to prevent compromise.
By following these testing procedures, organizations can enhance the security and integrity of their software applications. Incorporating passive code scanning, conducting penetration testing, and utilizing third-party services for active testing are vital steps to ensure application security throughout the SDLC.
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Employers will consider an application valid even if it has not been signed.
T or F
2023 leaf’s battery pack is located beneath the floor of the passenger compartment. What are the advantages of this platform?.
If 2023 leaf’s battery pack is located beneath the floor of the passenger compartment. The advantages of this platform is: It help to effectively maximize passenger as well as cargo space.
2023 leaf’s battery packThe advantages of this platform in a situation were 2023 leaf’s battery pack is found beneath the floor of the passenger compartment includes the following:
It helps to effectively maximize passenger and cargo spaceThe low center of gravity helps to effectively enhance handling.Therefore The advantages of this platform is: It help to effectively maximize passenger as well as cargo space.
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Which of the following would NOT generally be a motive for a firm to hold inventories?
A) to decouple various parts of the production process
B) to provide a selection of goods for anticipated customer demand and to separate the firm from
fluctuations in that demand
C) to take advantage of quantity discounts
D) to minimize holding costs
E) to hedge against inflation
D) to minimize holding costs
To offer a variety of products to meet anticipated consumer demand and to protect the business from changes in that demand.
What does the public want?Consumer demand is a supply-based economic indication of a group's desire for a good or service. It helps to discover population-specific purchasing trends and acts as a representation of consumer purchasing behaviour. The other eight states of demand are negative demand, no demand, latent demand, falling demand, irregular demand, full demand, overfull demand, and unwholesome demand. Demand analysis is used to determine consumer demand for a product or service in a target market. Companies use demand research methods to determine whether they can successfully enter a market and generate the expected revenues to expand their business operations.
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The ______ perspective is a model that emphasizes a firm's ability to modify and leverage its resource base in a way that enables it to sustain competitive advantage in a constantly changing environment.
The resource-based perspective is a model that emphasizes a firm's ability to modify and leverage its resource base in a way that enables it to sustain competitive advantage in a constantly changing environment.
What is Resource-based perspective?Resource-based perspective emphasizes a company's ability to modify and leverage its resource base to sustain a competitive edge in a dynamic and constantly changing environment. The resource-based perspective emphasizes a company's potential to change and use its resource base to maintain a competitive advantage in an ever-changing business world. It's an approach to strategic management that places a company's unique resources at the center of the strategy.
The resources of the company are referred to as those assets, capabilities, organizational processes, knowledge, and other tools that enable it to generate value for its clients and generate economic returns for its shareholders. To create a strategic edge, companies must recognize the potential of their resources and identify how they may use them to achieve sustainable and long-term value.
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in a statement of cash flows, cash goes down when the sum of cash flows from operating activities, investment activities, and financing activities are positive. True or False?
False. In a statement of cash flows, cash goes down when the sum of cash flows from operating activities, investment activities, and financing activities is negative.
Positive cash flows indicate an increase in cash, while negative cash flows indicate a decrease in cash. Therefore, when the sum of cash flows from all three activities (operating, investing, and financing) is positive, it means that cash is increasing, not decreasing.
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HELPP! In 2011 the United States economy had a GDP of $14,991 billion according to the United Nations. If consumption was $10,729 billion, government spending was $2,594 billion, and net exports was -$568 billion, how much was investment spending?
The total amount of the investment spending is $2,236 billion.
What is an investment spending?An investment spending means the private domestic investment or capital expenditures.
The formula for Investment spending is I = GDP − C − G − NX.
Investment spending = $14,991 billion - $10,729 billion - $2,594 billion - (-$568 billion)
Investment spending = $14,991 billion - $10,729 billion - $2,594 billion + $568 billion
Investment spending = $2,236 billion.
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To re-enter the u. S. , your dissa re-entry signature must have been issued within how many months within the re-entry?.
To re-enter the US, your Unites States Visa re-entry signature must have been issued within 12 months
The United States Visa provides legal entry into the country and laws and regulations around immigration govern how long a person can remain in the country legally.
The rules can be different depending on your nationality, legal status in the US, immigration process status, etc.
However, for someone who is studying in the United States on a Student Visa, The I-20/DS-2109 re-entry signature must be issued within 12 months.
If for any reason, they enter the United States after these 12 months have passed, they would need a new travel signature for valid entry.
Most students will need to submit a new application for an I-20 request form for a new travel signature.
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When banks have less money in required reserves they lend more money out to people and business. So Lower reserves usually help do what to the economy?
Answer:
Lower reserves increase the money supply in the economy.
Banks can either keep deposits in reserves or give them out as loans.
the lower the reserve ratio, the higher the money multiplier and the higher the money supply.
Lowering the reserves can be a form of expansionary monetary policy
Explanation:
Fractional banking is a banking system where a portion of customer's deposits is kept as reserves while remaining portion is lent out. The amount kept as reserves is determined by the required reserve ratio set by the Central bank.
If the required reserve ratio is 10% and $100 is deposited, reserves would be $10 and $90 would be lent out
Increase in the total value of checkable deposit is determined by the money multiplier
Money multiplier = 1 / reserve requirement
Increase in value of total deposit = amount deposited / reserve requirement
Assume 100 is deposited in a bank and the reserve requirement is 10%
Increase in value of total deposit = 100 / 0.1 = 1000
Imagine that the reserve is reduced to 5%
Increase in value of total deposit = 100 / 0.05 = 2000
reducing the reserve requirement increased the value of total deposit and thus the money supply in the economy
Keynes believed all of the following are true, except
wages and prices are sticky.
the economy is inherently stable.
the economy can experience a long period of recession.
the government must be involved in the economy.
the economy is never at full employment of resources.
The notion that "the economy is intrinsically stable" is false, in Keynes' opinion.
What economic principles did Keynes hold?According to Keynesians, since prices are somewhat stiff, changes in all types of spending, including government, investment, and consumer spending, have an impact on output. For instance, output will rise if government spending rises while all other spending elements stay the same.
What about Keynes' views on the recession?Implementing an expansionary fiscal policy, in the opinion of Keynesians, is the most effective approach to exit a recession. Examples include lowering taxes to promote investment and spending or outright raising government expenditure, both of which would result in a rightward shift in the aggregate demand curve.
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-If a company has an average monthly remittance of $30,000. 00,
what type of
remitter would they be?
Based on an average monthly remittance of $30,000.00, the corporation would be regarded a regular remitter, sending that money to another party on a constant basis.
A "remitter" is often a person or institution who distributes money or makes payments to another party. In the context of your inquiry, if a corporation has an average monthly remittance of $30,000.00, it implies that the company sends this amount of money to another party or parties on a regular basis. However, without more information about the nature of these remittances or the precise industry in which the company operates, determining the exact type of remitter they would be is difficult.
Various kinds of remittances are used in many industries and economic operations. A company in the banking sector, for example, may be processing customer payments or transferring funds on behalf of clients. A retail company may remit sales revenues to suppliers or wholesalers. Similarly, a service-based business may pay subcontractors or vendors. It is difficult to establish the precise type of remitter a company would be based merely on the average monthly remittance amount without more specific facts.
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The coursework taken at a _____ is focused on specific career skills and trades and does not generally require further academic studies.
vocational school
private school
university
college
Answer:
Vocational school
Explanation:
Edge 2021
You just graduated from college and are starting your new job. You realized the importance to save for the future and have figured out that you will save $3,000 per month for the next 14 years; and then increase to $8,000 per month for the following 4 years. The amount accumulated at the end of these investments will be your retirement egg nest. You plan to start retirement and start withdrawing monthly amounts the following month (you will be in retirement for 27 years). If your required rate of return is 12% compounded monthly, how much are your monthly withdrawals?
The monthly withdrawals that need to be made are $16,634.15. If rounded to the closest cent, the total amount that would be withdrawn on a monthly basis after retirement would be roughly $9,815.14.
The monthly withdrawals needed to be made are $16,634.15.The first thing that needs to be done is to find the total amount accumulated over the period of investment. The formula for finding the future value is used here.
This formula is FV = PMT × {[(1 + r)n - 1] ÷ r} + PV × (1 + r)
where PMT = Periodic payment
r = Interest rate
n = Number of payments
PV = Present value
Let us put the given values in this formula. For the first 14 years:
FV = $3,000 × {\([(1 + 0.12/12)^(14×12) - 1]\)÷ (0.12/12)} + $0×\((1 + 0.12/12)^(14×12)\)
FV = $3,000 × \({[(1.01^168) - 1]\) ÷ 0.01} + $0× \(1.01^168\)
FV = $4,426,989.95
For the next 4 years, the formula becomes:
FV = $8,000 × {\([(1 + 0.12/12)^(4×12) - 1]\) ÷ (0.12/12)} + $4,426,989.95×\((1 + 0.12/12)^(4×12)\)
FV = $8,000 × {\([(1.01^48) - 1]\) ÷ 0.01} + $4,426,989.95×\(1.01^48\)
FV = $5,831,227.53
Now that we have the accumulated amount, we can use the formula to find the monthly withdrawals. This formula is:
PMT = FV × r ÷ \({1 - (1 + r)^-n}\)
Let us put the given values in this formula:
PMT = $5,831,227.53 × 0.12 ÷\({1 - (1 + 0.12)^-324}\)
PMT = $16,634.15
Therefore, the monthly withdrawals that need to be made are $16,634.15.
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I need help I don’t get this
The friest answer bc she said budget
Answer:
it's C, because when you budget you are trying to save money.
Explanation:
which form determines how much state income tax is withheld from your paycheck?
By completing Form W-4: An Employee's Withholding Allowance Certificate, you can let your employer know how much money should be taken out of your paycheck to cover federal paycheck taxes.
The federal government determines the paycheck taxes percentages that workers must pay. Payroll taxes or FICA (Federal Insurance Contributions Act) taxes are subtracted from your paycheck and include Social Security and Medicare taxes. Social Security taxes provide retirement and disability benefits for workers and their families. The Medicare tax, which also includes medical benefits, applies to all adults 65 years of age and over, as well as to some disabled people who are younger. It also applies to people with chronic renal failure who require dialysis or a transplant. Employers contribute to these payroll taxes in part.
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how much water is in a water melon plz use percentage. here is 10 points
answer:
92 percent
explanation:
watermelon contains 92 percent water and 6 percent sugar
which career is likely to earn the high salary
Answer: Your welcome!
Explanation:
The career that is likely to earn the highest salary depends on a variety of factors, such as the individual's qualifications and experience, the industry they work in, and the specific job they hold. Generally, some of the highest-paying careers include doctors, lawyers, software engineers, and financial analysts. These careers usually require extensive education and training and can offer very high salaries. Other potential high-paying careers include investment bankers, business executives, and software developers.
A mining company routinely replaces a specific part on their equipment. The usage rate is 40/week, and there is no seasonality. The supplier of the part offers the following discount structure
Q<300 units - $10/unit
Q>300 units - $9.7/unit
The fixed cost of a replenishment is $25, and a carrying cost is $0.26/unit/year.
What replenishment size should be used?
Must show all work handwritten.
To determine the optimal replenishment size, we need to calculate the Economic Order Quantity (EOQ) using the given information.
The EOQ formula is given by:
EOQ = sqrt((2DS) / H)
Where:
D = Annual demand
S = Ordering cost per replenishment
H = Carrying cost per unit per year
Given information:
Demand per week (D) = 40 units/week
Ordering cost (S) = $25
Carrying cost per unit per year (H) = $0.26/unit/year
First, we need to calculate the annual demand:
Annual demand (D) = Demand per week * Number of weeks in a year
= 40 units/week * 52 weeks/year
= 2,080 units/year
Next, we can substitute the values into the EOQ formula:
EOQ = sqrt((2,080 * $25) / $0.26)
= sqrt(52,000 / $0.26)
= sqrt(200,000)
≈ 447.21
Since the EOQ represents the order quantity at which the total cost (ordering cost + carrying cost) is minimized, the optimal replenishment size should be approximately 447 units.
Please note that this is a simplified calculation without considering other factors such as lead time, stockout costs, or quantity discounts. It is always recommended to conduct a thorough analysis and consider additional factors when making inventory management decisions.
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Fill in the blank. An effective behavioral marketing and segmentation strategy is built on a foundation of good ________.
An effective behavioral marketing and segmentation strategy is built on a foundation of good data.
Behavioural marketing is the method by which companies usually target audience on the basis of their behaviour, interests, intentions, and other metrics using web analytics, cookies, search history etc.
Segmentation strategy is the strategy which organizes your customer or business base along demographic, geographic, psychological, behavioural lines or combination of them. It usually break the target audience into smaller, more manageable groups.
The above strategy can be built on foundation of good data for better analysis of target audience.
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how many white people said the n word
Answer:2,728,146,373,648,273,438,956,857,326,726
Explanation: I live on earth
Disutility has to do with having product offered at the right time of day, week or year.
Answer:
Time
Explanation:
XYZ is an established business and has written a business plan in order to request additional funding from a local bank. Unlike a plan for a new business, their business plan will include which information?
Answer:
Growth Highlights
Explanation:
When a new business is to start up, and it requires funding it shall propose the business idea to investors, but it depends upon the discretion of investors whether or not to invest, and their results are dependent upon the expectations of the business idea.
Whereas when a established business requires further funds, it can state the statistical records and performance reports which shall highlight the growth achieved by the business already.
This shall ensure the investors about their returns in a more confident manner.
Funding from local bank shall include the growth results achieved till now, in order to create the investor confidence.
Explain whether the following government policies affect the aggregate demand curve or the short-run case? aggregate supply curve and how. What wil happen to the aggregate price level and aggregate output in each a. The government reduces the minimum nominal wage. 2. The government reducing the minimum nominal wage would shift the (AD, SRAS) the (right or R, left or L) curve to 3. This would (increase or+, decrease decrease or-) aggregate output. the aggregate price level and (increase or +, b. The government increases Temporary Assistance to Needy Families (TANF) payments, government transfers to poor families with dependent children. 4. The government increasing TANF payments would shift the (AD, SRAS) (right or R, left or L)_ curve to the 5. This would (increase or +, decrease or-) decrease or- the aggregate price level and (increase or +, -aggregate output.
The government decreases the minimum nominal wage which will happen to the aggregate price level.
2. The government reducing the minimum nominal wage would shift the (AD, SRAS) the (right or R, left or L) curve to
The government reducing the minimum nominal wage would shift the short run aggregate supply (SRAS) curve to the right.
3. This would (increase or+, decrease decrease or-) aggregate output. the aggregate price level and (increase or +,
This would decrease the aggregate price level and increase aggregate output.
b. The government increases temporary assistance to needy families (TANF) payments, government transfers to poor families with dependent children.
4. The government increasing TANF payments would shift the (AD, SRAS) (right or R, left or L)_ curve to the
The government increasing TANF payments would shift the aggregate demand curve to the right.
5. This would (increase or +, decrease or-) decrease or- the aggregate price level and (increase or +, -aggregate output.
This would increase the aggregate price level and decrease aggregate output.
Aggregate price level:A measure of the economy's overall level of prices is the aggregate price level. Economists calculate the cost of purchasing a market basket to determine the overall price level.
If the aggregate price level falls, what happens?When prices drop, people become wealthier, which leads to more spending by people. As a result, overall demand rises as a result of a decrease in the price level. Keynes' interest-rate effect is the second factor contributing to the aggregate demand curve's downward slope.
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Banks use your deposits to make loans to other individuals. true or false
Answer:
true
Explanation:
.................... mark my answer brainliest if it is right
A shopper in a super market pushes a loaded acrt with a horizontal force of 12 n. how far will the cart move in 3.5 s starting from rest? how far will the cart move in 3.5s if the per places an 85 n child in the cart is pushing
The cart of the supermarket will move 2.296 m if per places an 85 n child in cart is pushing.
What is a supermarket?In a supermarket, customers can self-serve and choose from a variety of food, drink, and household item options. While this sort of store is bigger and has a wider selection of items than earlier grocery stores, it is smaller and provides a narrower range of products than a hypermarket or big-box retailer. Typically, the store will have fresh meat, veggies, dairy, deli foods, baked goods, etc. In addition, shelf space is allocated for canned and packaged foods as well as a variety of non-food items like cookware, pet supplies, cleaning supplies, and household cleaners. As well as selling common household things like clothing, wine, and medications, some supermarkets also carry a far wider selection of non-food items including DVDs, toys, seasonal goods, and sporting goods.
New distance=3.5*0.656=2.296m
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The issue price of 1,000, 5%, $1,000 bonds issued at 100.00 equals ______.
Answer:
The issue price of 1,000 bonds issued at 100.00 equals $1,000,000.
Explanation: