X Company's classified balance sheet for December 31, 2020, in terms of assets would be as follows:
Current Assets:
- Cash: $13,400
- Short-term investments: $120
- Accounts receivable: $4,300
- Inventories: $2,900
Long-term investments:
- Investments in stock: $6,500
Property, plant, and equipment:
- Equipment: $21,700
Less: Accumulated depreciation: ($5,700)
Total Assets: $43,220
The assets section of a balance sheet represents all the resources a company owns that have economic value and can be used to generate future revenues. The assets are categorized into two major categories, i.e., current assets and non-current assets. Current assets are the assets that are expected to be converted into cash within a year, while non-current assets are the assets that will provide economic benefits for more than one year.
In the given information, the assets of X Company as of December 31, 2020, include cash, short-term investments, accounts receivable, inventories, investments in stock (long-term), and property, plant, and equipment. To prepare the assets section of X Company's classified balance sheet, we need to classify these assets into current and non-current assets.
The current assets of X Company include cash, short-term investments, accounts receivable, and inventories. These assets are expected to be converted into cash within one year, and their total value is $20,720.
The non-current assets of X Company include investments in stock and property, plant, and equipment. The investments in stock are expected to provide economic benefits for more than one year, and their total value is $6,500. The property, plant, and equipment are long-term assets and are valued at $21,700, which is the original cost of the assets less the accumulated depreciation.
X Company's classified balance sheet for December 31, 2020, in terms of assets includes current assets, non-current assets, and the total value of assets is $43,220. By categorizing the assets into current and non-current assets, we can better understand the liquidity and long-term solvency of the company.
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value of the additional output that an extra unit of a resource can produce. cost of hiring an additional unit of a resource. extra cost of producing an additional unit of output. increase in total output when an additional unit of an input is hired. change in total revenue when an additional unit of a good is sold.
Answer:
never mind
Explanation:
never mind is always never mind
which of the following is consistent with the louidity oremium theory of the vield curve? check all that apply
A. if liquidity influences the yield curve, the forward rate overestimates the market's expectation of the future interest rate.
B. if liquidity influenoss the vield curve, an uoward-slooing vield curve suggests that the market thinks interest rates in the future will
increase.
C If liquidity influences the yleld curve, the forward rate underestimates the market's expectation of the future interest rate.
D. if liquidity influences the yleld curve, an upward-sloping yield curve suggests that the market thinks interest rates in the future will decrease
The following options are consistent with the liquidity premium theory of the yield curve If liquidity influences the yield curve, the forward rate overestimates the market's expectation of the future interest rate. This is consistent with the liquidity premium theory of the yield curve.
If liquidity influences the yield curve, an upward-sloping yield curve suggests that the market thinks interest rates in the future will increase. This is consistent with the liquidity premium theory of the yield curve.Option C: If liquidity influences the yield curve, the forward rate underestimates the market's expectation of the future interest rate. This is not consistent with the liquidity premium theory of the yield curve.
If liquidity influences the yield curve, an upward-sloping yield curve suggests that the market thinks interest rates in the future will decrease. This is not consistent with the liquidity premium theory of the yield curve.Hence, the correct options are A and B.
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Capital Records is reviewing its annual returns and need to calculate the growth or loss over the years. Given the following returns, what is the variance? Year 1 = 13%; year 2 = 1%; year 3 = -26%; year 4 = -1%.
.0323
.0320
.0275
.0456
0.876
.0201
.0249
.0268
Capital Records needs to calculate the variance of its annual returns. The returns given are:
Year 1 = 13%; year 2 = 1%; year 3 = -26%; year 4 = -1%.
The formula for calculating variance is:
$$\sigma^2=\frac{\sum (X - \bar{X})^2}
{n-1}$$To calculate the variance,
first, we need to calculate the mean:$$\bar{X}=\frac{\sum X}{n}
$$where X is each of the given returns, and n is the number of returns. Therefore, the mean is:
$$\bar{X}=\frac{13+1-26-1}{4}=-3.25$$
Now we need to calculate the sum of squares.
For each return, we subtract the mean and square the difference. Then, we add up these
squares:$$\sum (X - \bar{X})^2 = (13-(-3.25))^2+(1-(-3.25))
^2+(-26-(-3.25))^2+(-1-(-3.25))^2$$$$\sum (X - \bar{X})^2 = 16.5625+23.0625+529.5625+5.0625=574.25$$
Finally, we can calculate the variance by dividing the sum of squares by n-1:$$\sigma^2=\frac{\sum (X - \bar{X})^2}
{n-1}=\frac{574.25}{4-1}=191.4167$$
Therefore, the variance of the given returns is 191.4167.
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“Like”, “Um”, and “You know” are all examples of _____. a. standard English b. slang and filler words c. effective communication d. clear enunciation Please select the best answer from the choices provided A B C D
Answer:
B on edge:)
Explanation:
“Like”, “Um”, and “You know” are all examples of slang and filler words. Thus, the correct option is B.
What are filler words?Filler words, often referred to as discourse markers, are the words we employ when we are at a loss for words. Most of the time, we utilize them unintentionally to pass the time or fill the void while we prepare our primary message.
The most common filler words are found in speech. Our minds periodically need to pause when we talk while we consider our next words or phrase.
Filler words can also convey a particular attitude or feeling, such as joking reservation before breaking unpleasant news. Conciseness is essential for effective communication, both verbally and in writing. In essence, your words become stronger the less you use of them.
Filler words can be found in writing as well, although they serve different functions. Writers usually utilize filler words in their writing when they are at a loss for more precise or creative alternatives. Other times, they happen by mistake while the writer tries to clarify a challenging concept.
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Which of the following would be a financial audit (or a part of a financial audit) under the Government Auditing Standards?
A) An audit expressing an opinion on the basic financial statements of a state or local government audit.
B) An examination to determine whether purchasing procedures are appropriately designed to assure program supplies meet standards.
C) Both A and B above.
D) Neither A nor B above.
The correct answer is C) Both A and B above.
Under the Government Auditing Standards, both options A and B would be considered as part of a financial audit. Option A refers to an audit that expresses an opinion on the basic financial statements of a state or local government. This involves examining the financial statements to ensure they are presented fairly and in accordance with generally accepted accounting principles.
Option B involves examining purchasing procedures to determine if they are appropriately designed to ensure program supplies meet standards. While this may not directly relate to the financial statements, it is still considered part of a financial audit under the Government Auditing Standards. This is because evaluating the effectiveness of purchasing procedures can have an impact on the financial operations and controls of an organization.
The Government Auditing Standards, also known as the Yellow Book, provide guidance for auditors conducting financial audits of government entities. It sets forth the standards and requirements for audits, including the scope and objectives of the audit, the auditor's qualifications, and the reporting requirements. The standards aim to promote accountability, transparency, and integrity in the financial operations of government entities.
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rachel corporation purchased a building by paying $99,000 cash on the purchase date, agreeing to pay $51,800 every year for the next nine years and one payment of $109,000 ten years from the purchase date. the first payment is due one year after the purchase date. rachel's incremental borrowing rate is 10%. the liability reported at on the balance sheet as of the purchase date, after the initial $99,000 payment was made, is closest to:
The liability reported on the balance sheet as of the purchase date, after the initial $99,000 payment was made, is closest to $358,913.
\(PV = P * (1 - (1 + r)^(-n)) / r\)
PV annuity = \($51,800 * (1 - (1 + 0.10)^(-9)) / 0.10\)
PV annuity = $51,800 * (1 - 0.38697) / 0.10
PV annuity = $51,800 * 0.61303 / 0.10
PV annuity = $316,912.39
\(PV = F / (1 + r)^n\)
PV final payment = $109,000 / (1 + 0.10)^10\($109,000 / (1 + 0.10)^10\)
PV final payment = $109,000 / 2.59374
PV final payment = $42,000.65
Now, we can calculate the total liability reported on the balance sheet:
Total liability = PV annuity + PV Final payment
Total liability = $316,912.39 + $42,000.65
Total liability = $358,913.04
A balance sheet is a financial statement that provides a snapshot of a company's financial position at a specific point in time. It presents a summary of the company's assets, liabilities, and shareholders' equity.
On the asset side, the balance sheet lists the company's resources, including cash, accounts receivable, inventory, property, and equipment. These assets are categorized as either current assets (expected to be converted into cash within a year) or long-term assets (held for longer periods). Liabilities represent the company's obligations, such as loans, accounts payable, and accrued expenses. Similar to assets, liabilities are divided into current liabilities (due within a year) and long-term liabilities (payable over an extended period).
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In which part of a résumé would you mention details of any prizes or awards that you won in professional competitions?
Answer:
"Scholarships or Competitions" would be the appropriate choice.
Explanation:
As even the title indicates, this would be the segment of your CV or resume wherever you mention the related honors, accomplishments, or prizes you have received for performing above the norm. It requires scholarships, contests, career-related honors, or perhaps even raises to management place throughout the job. Even with your remarkable accomplishments, users shouldn't have to build a special segment.Answer:
Honors and activities
Explanation:
Hope this helps :)
How is the restaurant manager’s experience different from the customer’s experience?
Answer:
The restaurant Manager has in-depth knowledge of their business, workers, and income. While a customer might know a workers name a restaurant Manager knows their past record, their education level, and connections.
A manager also might deal with the money, meaning counting bills, change, while a customer simply pays.
Explanation:
Sorry if the question is looking for more specifics.
why should the investment decision be separate from the financing decision?
The investment decision and the financing decision are two distinct decisions that companies make regarding their capital structure.
The investment decision involves determining how to allocate the company's available funds among different investment opportunities, while the financing decision involves determining how to finance those investments.
Separating these two decisions allows a company to make the best possible investment decisions without being constrained by its current funding situation. For example, if a company wants to invest in a new project but doesn't have enough cash on hand, it may be tempted to reject the investment opportunity or scale back the project. However, by separating the investment decision from the financing decision, the company can focus on making the best investment decision possible, and then figure out the most appropriate way to finance it.
Furthermore, separating the two decisions allows a company to optimize its capital structure. By considering various financing options separately from investment decisions, a company can choose the optimal mix of debt and equity financing to achieve its goals. This can help the company minimize its cost of capital and maximize shareholder value.
In summary, separating the investment decision from the financing decision gives a company greater flexibility in making investment decisions and enables it to optimize its capital structure.
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The investment decision and financing decision should be separate from each other for the following reasons:Investment decision refers to the choice of assets or capital projects in which to invest funds.
The investment decision is concerned with deciding which investment projects should be taken up by the company and is a long-term decision. The investment decision includes evaluating various investment opportunities and choosing the one that will yield the greatest returns.Financing decision, on the other hand, refers to the choice of funding sources and the mix of long-term and short-term debt. This is a short-term decision that focuses on how to finance the investment, how much debt should be used, what kind of securities should be issued, and so on.The primary reason why the investment decision and financing decision should be separate is that the investment decision focuses on long-term decisions, whereas the financing decision focuses on short-term decisions. The investment decision should be made first since it is the most critical, followed by the financing decision. Furthermore, the financing decision can alter the investment decision's returns, and vice versa. Hence, they should be separate from each other so that they do not interfere with each other's outcomes.
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Based on the historical data, B Inc. has a beta of 1.5 against the S&P 500 return last ten years, Today, the risk-free rate is 3.8% (T-Bill), the return on the market portfolio (S&P 500) is 10.8%. Currently, B Inc.’s share is sold at $75 and it has 5 million outstanding shares. Also, B Inc. has issued 200,000 10 years semi annual coupon bonds 5% coupon rate last year. Now, its bonds is rated as AAA and it is traded at $1,010 in the market. The company’s margin tax rate is 27%. What is B Inc.’s after tax WACC? (25 Marks)
Therefore, the after-tax WACC of B Inc. is 9.86%.
After-tax WACC stands for weighted average cost of capital. The cost of capital is the return required to attract investment, and WACC reflects the average cost of all sources of capital, weighted by the proportion of each source of capital in the company's capital structure.
When a company has a lower cost of capital, it may take on more investments that produce lower returns than other businesses with a higher cost of capital.
WACC is calculated as the weighted average of the firm's cost of equity and its cost of debt, weighted by the percentage of equity and debt in the firm's capital structure.
It is expressed in percentage points and reflects the company's tax burden as well as the relative cost of debt and equity.
Explanation:
Given parameters:Beta of B Inc. = 1.5
Risk-free rate = 3.8%
Market portfolio return = 10.8%
Margin tax rate = 27%
Current share price = $75
Number of outstanding shares = 5 million
Number of outstanding bonds = 200,000
Market price of bonds = $1,010Coupon rate = 5%
Semi-annual coupon payments
Tax rate = 27%
WACC formula
= (E / V x Re) + (D / V x Rd) x (1 - Tc)
Where E = market value of the firm’s equity
D = market value of the firm’s debt
V = total value of the firm’s equity and debt
Re = cost of equity
Rd = cost of debt
Tc = corporate tax rate
Let's calculate the cost of equity (Re) using the capital asset pricing model (CAPM):
Re = Rf + Beta x (Rm - Rf)
where Rf = risk-free rate
Rm = market return
Using the parameters given, we can compute Re:
Re = 3.8% + 1.5(10.8% - 3.8%)
Re = 14.6%
Next, we will calculate the cost of debt (Rd):
Rd = Coupon Rate x (1 - Tax Rate) x (Face Value / Market Price) + (Gains or Losses / Years to Maturity)
where Face Value is the par value of the bond.
Let's calculate the cost of debt:
Rd = 0.05 x (1 - 0.27) x ($1,000 / $1,010) + (0 / 20)
Rd = 2.32%
Now, we will calculate the market value of the firm’s equity and debt:
Equity value = Number of shares x Share price
Equity value = 5,000,000 x $75
Equity value = $375,000,000
Debt value = Number of bonds x Bond price
Debt value = 200,000 x $1,010
Debt value = $202,000,000
Total value = Equity value + Debt value
Total value = $375,000,000 + $202,000,000
Total value = $577,000,000
Next, we will calculate the proportion of debt and equity in the capital structure:
Proportion of debt = Debt value / Total value
Proportion of debt = $202,000,000 / $577,000,000
Proportion of debt = 0.35
Proportion of equity = Equity value / Total value
Proportion of equity = $375,000,000 / $577,000,000
Proportion of equity = 0.65
Now, we will substitute all values into the WACC formula and calculate it:
WACC = (0.65 x 0.146) + (0.35 x 0.0232 x (1 - 0.27))
WACC = 9.86%
Therefore, the after-tax WACC of B Inc. is 9.86%.
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What is an example of clickstream storage and where the
technique of market basket analysis is ideally suited for?
Clickstream storage refers to the collection of data related to user behavior on a website. Clickstream data is often used by organizations to analyze user behavior and website performance. One example of clickstream storage is web analytics software, which can track and analyze user behavior on a website.
Market basket analysis is a technique that is ideally suited for analyzing clickstream data. This technique involves analyzing the items that users purchase together in order to identify patterns and relationships between products. By analyzing the items that users purchase together, organizations can gain insights into which products are most popular and which products are most likely to be purchased together.
Overall, clickstream storage and market basket analysis are powerful tools that can be used to gain insights into user behavior and improve website performance. By analyzing user behavior and identifying patterns and relationships between products, organizations can make informed decisions that drive business success.
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how should the entries to a schedule of accounts payable be ordered
a. by date received
b. alphabetically by vendor name
c. by amount due from most to least
d. by date due
The entries in a schedule of accounts payable would be ordered alphabetically by vendors name.
What is the use of a schedule of accounts payable?A schedule of accounts payable is a list of all the vendors in the ledger of accounts payable to whom the business is currently indebted, together with the balances of their current accounts. In other words, the accounts payable schedule is a list of everyone to whom the company owes money in the accounts payable systems in alphabetical order.
There are two key benefits to using the accounts payable schedule. This schedule, first and foremost, enables managers as well as the accounts payable division to keep track of and arrange the vendor accounts that need to be paid. For instance, the majority of manufacturers and retailers purchase inventory and products from other companies.
Cash payments for these transactions are uncommon. Instead, the buying business merely places the acquisition on credit and pays the vendor within 30 days well after purchase. This technology accelerates corporate operations and makes it simpler for enterprises to purchase things.
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Answer: d. by date due
Explanation: I just took the test.
2. What does a correlation coefficient of 0.76 between two assets indicate?
(1 point)
Answer:
The two assets are highly correlated
Explanation:
Just took the test
Type the correct answer in the box. Spell all words correctly. Bobby is part of the marketing team of a company that sells various bluetooth devices. The target customers for this product belong to a range of age groups. Hence, bobby wants to use multiple advertising vehicles to deliver the message of the product. He wants to set aside money for each of the advertising media based on its relative potential. Which component of the advertising plan would help bobby allocate money to the different media according to the finances available? the component of the advertising plan would help bobby allocate money to the different media according to the finances available.
The component of the advertising plan that will help Bobby allocate the money to the different media according to the finances available is the budget.
Why is a budget important for a business?An expenditure plan for your firm based on your income and expenses is called a business budget. It determines your cash on hand, figures out your expenses, and helps with income projection. A budget can help with the planning of your company's operations and act as a guide for setting financial goals.
Budgeting encourages financial stability. An individual who follows a budget generally has a stronger financial foundation over the long and short terms. It lets a business to plan expenses, achieve overall goals, and anticipate any modifications that may be required to operations. A budget can be used to track performance and helps a business understand its running expenditures.
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Help please, answer down below. Thanks :) (20 points)
Answer:
I think it would be C
(also can u help me with a question? I added it in my page thing)
the advantages of working with an intermediary usually increase when there is
When it comes to conducting business transactions or negotiations, an intermediary can play a crucial role in facilitating communication and achieving successful outcomes. In fact, the advantages of working with an intermediary usually increase when there is a high degree of complexity or difficulty involved in the process.
One key advantage of working with an intermediary is that they can provide valuable expertise and knowledge that may not be readily available to all parties involved. This can include specialized industry knowledge, legal expertise, or cultural understanding that can help bridge communication gaps and ensure that all parties are on the same page.
Another advantage of working with an intermediary is that they can help build trust and establish rapport between parties that may not have had prior relationships or interactions. This can be particularly important when negotiating high-stakes deals or transactions where the parties may have conflicting interests or priorities.
In addition, intermediaries can often provide a level of confidentiality and discretion that may not be possible if parties were to negotiate directly with one another. This can be important in situations where sensitive information or trade secrets are involved, or when parties simply prefer to keep their negotiations private.
Overall, the advantages of working with an intermediary can be significant, especially in complex or difficult negotiations. By providing valuable expertise, building trust and rapport, and ensuring confidentiality and discretion, intermediaries can help facilitate successful outcomes and create value for all parties involved.
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Gaining some understanding of international business is important for any business student because global events and competition affect almost all companies.
a. true
b. false
It is true, that gaining some understanding of international business is important for any business student because global events and competition affect almost all companies.
Why study about international business?Gain an international viewpoint – To succeed in business, one must be open-minded and understand how people operate in other cultures.Build highly sought-after transferable skills - A postgraduate business degree will increase your employability by enabling you to develop skills applicable to any sector in addition to providing you with advanced business knowledge.Knowledge of advanced business concepts will make you stand out to potential employers.Recognize the new norm - All prosperous modern companies are global in scope.Increase your employability by having a variety of employment alternatives and a strong starting income as an international business graduate.To view more about business, refer to:
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A firm using a(n) _____ essentially adopts a mass-market philosophy, viewing the market as one big market with no individual segments.
A firm using an undifferentiated target strategy is essentially adopts a mass-market philosophy, viewing the market as one big market with no individual segments.
What is target strategy?It involves selecting potential customers that have been identified for a target market.
This people are the individual that a business wish to sell products or services..
Therefore, A firm using an undifferentiated target strategy is essentially adopts a mass-market philosophy, viewing the market as one big market with no individual segments.
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When you plan a presentation, how should you make sure you stay on track as you talk?
A. Make a list of general topics and points you want to cover.
B. Write out every word of the presentation on notecards.
C. Memorize every word of the presentation in your head.
D. Have the audience tell you what else you need to talk about.
Answer:
A make a list
Explanation:
Answer:
It's A. Make a list of general topics and points you want to cover.
Explanation: hope it helps ^w^
DETAILS ASWMSCI15 2.E.023. MY NOTES ASK YOUR TEACHER Embassy Motorcycles (EM) manufactures two lightweight motorcycles designed for easy handling and safety. The EZ-Rider model has a new engine and a low profile that make it easy to balance. The Lady-Sport model is slightly larger, uses a more traditional engine, and is specifically designed to appeal to women riders. Embassy produces the engines for both models at its Des Moines, Iowa plant. Each EZ-Rider engine requires 6 hours of manufacturing time, and each Lady-Sport engine requires 3 hours of manufacturing time.
Embassy Motorcycles manufactures two lightweight motorcycles, namely the EZ-Rider and the Lady-Sport models.
The EZ-Rider model features a new engine and a low profile, which enhances balance and maneuverability. On the other hand, the Lady-Sport model, designed to attract female riders, is slightly larger and utilizes a more traditional engine. Both motorcycle models are manufactured at Embassy's plant in Des Moines, Iowa. The manufacturing process includes the production of engines for both models, with each EZ-Rider engine requiring 6 hours of manufacturing time and each Lady-Sport engine requiring 3 hours.
By producing the engines in-house, Embassy Motorcycles can ensure quality control and maintain production efficiency. The EZ-Rider engine's longer manufacturing time suggests a more intricate design or additional components, potentially contributing to its improved performance and handling. In contrast, the Lady-Sport engine's shorter manufacturing time may indicate a simpler design, although it still meets the required specifications for safety and performance.
Overall, Embassy Motorcycles prioritizes easy handling and safety in both the EZ-Rider and Lady-Sport models. By tailoring the Lady-Sport model specifically for female riders, the company aims to expand its customer base and cater to diverse preferences. The manufacturing process for the engines plays a crucial role in delivering reliable and high-quality motorcycles to the market.
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Last year Gray Corp. Had net sales of $325,000 and a net income of $19,000, and its year-end assets were $250,000. The firm's total-debt-to-total-capital ratio was 45. 0%. The firm uses only debt and common equity as financing. Based on the DuPont equation, what was the ROE?
Based on the DuPont equation, the ROE for Gray Corp. is 13.82%, given net sales of $325,000 and a net income of $19,000, and year-end assets of $250,000.
According to the DuPont formula, return on equity (ROE) is the same as profit margin times asset turnover times financial leverage. According to DuPont analysis, return on equity is determined by multiplying the profit margin by the asset turnover rate by the financial leverage.
Total debt to total capital ratio = 45%
Total Debt / Total Assets = 0.45
Total Debt / $250,000 = 0.45
Total Debt = 0.45* $250,000
Total Debt = $112,500
Total Capital = Total Assets – Total Debt
Total Capital = $250,000 - $112,500
Total Capital = $137,500
ROE = Net Income / Total Capital
ROE = $19,000 / $137,500
ROE = 13.82%
Hence, the ROE for Gray Corp. is 13.82%.
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The Smith family owns 200 shares of Elta stock. The company declared a 5% stock dividend. The Smiths now own:____.
If company declared a 5% stock dividend then it is known that Smiths now own 210 shares.
Given that the Smith family owns 200 shares of Elta stock and the company declared a 5% stock dividend.
We are required to find the number of shares that Smiths own now.
Share is the smallest part of capital of a company.
Dividend is basically the return that a company gives to its shareholders.
Number of shares that Smith own before declaration of dividend=200
Declaration of dividend=5%
Number of shares that Smith own now=200+200*5%
=200+10
=210 shares.
Hence if company declared a 5% stock dividend then it is known that Smiths now own 210 shares.
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According to the U.S. Census Bureau, in 1950, 39.3 million families had a child under 18 at home. Suppose a recent study found that number had decreased by 9.3%. How many million families had a child under 18 at home according to this study? Round the number of millions to the nearest tenth.
Answer: 35.7 million
Explanation:
Number of families that have a child of under 18 at home = 39,300,000
Percentage decrease = 9.3% = 0.093
The number of families that had a child under 18 at home according to this study will be:
= 39.3 million - (39.3 million × 0.093)
= 39.3 million - 3.6549 million
= 35.6451 million
= 35.7 million
having a ceo serve in two competing companies at the same time is an example of: price discrimination an interlocking directorate exclusive dealing a tying contract
Having a CEO serve in two competing companies at the same time is an example of an interlocking directorate. This occurs when an individual serves on the board of directors for multiple companies, which could create conflicts of interest if those companies are direct competitors.
Interlocking directorates can limit competition and create barriers to entry for smaller businesses. This is because the CEO may use their position to share confidential information or coordinate actions between the two companies, ultimately giving them an unfair advantage in the market.
Price discrimination refers to the practice of charging different prices for the same product to different customers, while exclusive dealing involves a seller requiring a buyer to only purchase from them. Tying contracts involve a seller requiring a buyer to purchase a product or service as a condition of purchasing another product or service.
Overall, interlocking directorates can be a cause for concern when it comes to competition and fair market practices. It's important for companies to be aware of potential conflicts of interest and ensure that their board members are acting in the best interest of their respective companies, rather than working to benefit one over the other.
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5. Retailers use technology in stores and online to:
O A. Limit product selection
O B. Make tasks easier and faster to complete for employees and customers
C. Monitor all the places they are shopping
O D. Prevent customers from shopping
The answer is The answer is option [B]. For both employees and customers, make jobs simpler and quicker to accomplish Retailers use technology. Physical retailers can utilize touchscreen screens to create a more connected, interactive purchasing experience as retail outlets become more digital.
Retailers use technology:
In general, roughly six out of ten customers would want to purchase in-person with a retailer that incorporates technology to enhance the experience. The able to relate your offline and online worlds is the best thing about technology. Customers can explore, order, and pay online using digital kiosks, which also let shops display goods, interesting information, and advertising.
Payment processing is becoming faster because to contactless technologies. Customers can quickly pay for their purchases by tapping their credit card or mobile device on a payment terminal, leave the store, and return later. installations for payments.
The retail sector is being improved by technology in a variety of ways, from augmented reality and better consumer experiences to more accuracy and control over market information and inventory management. Digital tools and technologies used by traditional brick-and-mortar stores and e-commerce platforms in their supply chain and in-store operations are referred to as retail technology. It is central to how retail businesses are being transformed by digital technology.
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state two reasons why newly born babies are out_doored only after some few days have passed
Answer:
TEMPERATURE, DISEASES, OR EXPOSED TO HARMFUL THINGS OUTSIDE
Explanation:
Your son is about to start kindergarten in a private school. currently, the tuition is $11,000 per year, payable at the start of the school year. you expect annual tuition increases to average 6% per year over the next 13 years. assuming that your son remains in this private school through high school and that your current interest rate is 7%, then the present value of your son's private school education is closest to:
The present value of your son's private school education is :
≈ $ 9,735.98
Analysis
First step : Determine the future value of the tuition
Tuition( PV ) = $11,000 , r = 6% , n = 13
FV = PV ( 1 + r )ⁿ --- ( 1 )
Back to equation ( 1 )
FV = 11,000 ( 1 + 0.06 )¹³
= 11,000 (1.06)¹³ = $23462.21
Last step : Determine the present value of your son's private school education
PV = FV ( 1 / ( 1 + r )ⁿ ) ------- ( 2 )
where : FV = $23462.21, r = 7% , n = 13 years
PV = 23462.21 ( 1 / ( 1.07 )¹³
= 23462.21 * 0.41496
= $ 9,735.98
Hence we can conclude that The present value of your son's private school education is :≈ $ 9,735.98
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A savings account that pays interest every 3 months is said to have a interest period. O A. monthly O B. quarterly O C. semiannual O D. daily
Answer:
probly A im not forsure
Explanation:
A savings account that pays interest every 3 months is said to have an interesting period quarterly. Thus the correct option is B.
What is a savings account?A fundamental kind of financial instrument that enables you to save your money and often earn a tiny bit of interest and utilize it at the time of Your emergency fund or savings for short-term goals is referred as a Savings account.
A savings account is considered to have semi-annual interest if interest is paid every six months. A quarterly fascinating period is said to exist in a savings account that pays interest every three months.
Similarly, A savings account that receives interest payments on a monthly basis is referred to as a monthly saving account, whereas a daily saving account receives interest payments on a daily basis.
Therefore, option B is appropriate.
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Advertisers who simply want to build awareness may purchase online advertising from small websites that sell ads directly. They are likely to use which performance measure?.
Advertisers who simply want to build awareness may purchase online advertising from small websites that sell ads directly. They are likely to use FANBASE.
Fanbase is a social networking platform with a subscription model that aids users in making money from the material they provide. The heart of your company is its workforce. Building connections with others encourages loyalty. Loyalty therefore has the potential to boost revenue.
Creating a fan base is a great approach to begin interacting with individuals who have similar interests. Positive marketing and consumer interaction tactics are effective because they sell. Fans' comments on your postings, however, are now more than just user-generated marketing materials. Users expect a brand reaction at this interactive user touchpoint, which is active. If you don't answer, you're actively losing money in addition to degrading the user experience.
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which of the following would shift the supply curve for iphones? question 11 options: new rules that limit how much manufacturing can be done abroad. a new wave of interest in henry david thoreau that causes many people to abandon technology in an attempt to live deliberately and authentically. a study showing that 5g really does allow the government to control your mind. the release of a new android device that is totally cooler than the iphone.
The answer is the first option: new rules that limit how much manufacturing can be done abroad.
If there are new regulations put in place that limit the amount of manufacturing that can be done in other countries, it could cause a decrease in the supply of iPhones. This is because Apple relies heavily on foreign production to keep up with demand and keep prices low. If they are not able to produce as many iPhones, the supply curve will shift to the left, indicating a decrease in supply. This could lead to an increase in price and potentially a decrease in demand if consumers are not willing to pay the higher price. It is important to note that the other options, such as a new wave of interest in Thoreau or a study showing 5g mind control, would not directly impact the supply of iPhones and therefore would not shift the supply curve.
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