Part A: Subtotal is $1,019.99; After 15% discount, subtotal is $866.99.
Part B: Final total with 6% sales tax is calculated to be $919.01.
Part C: After 10% tip, new total will be $968.99.
For Part A:
The bike costs $1,000 and the helmet costs $19.99, so the subtotal is $1,019.99.
Bobby has a 15% off coupon, so he will get a discount of 0.15 x $1,019.99 = $153.
Therefore, his subtotal after the discount will be $1,019.99 - $153 = $866.99.
For Part B:
The sales tax on $866.99 at a rate of 6% will be 0.06 x $866.99 = $52.02.
Therefore, Bobby's final total will be $866.99 + $52.02 = $919.01.
Part C:
Bobby wants to tip the bike specialist 10% of the original price before the discount, which is 0.1 x $1,019.99 = $102.
After the discount, his subtotal is $866.99, so his new total after the tip will be $866.99 + $102 = $968.99.
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John was told that he owned 1.5% of the shares in the company -calculate the total number of issued shares in this company. -what was the market price of the shares when he this bought shares? john feels that he owns an insignificant percentage of shares and he wants to sell his shares. what advice would you give him? give three points
If John knows how many shares he owns, he can use that information to calculate the total number of issued shares.
What was the market price of the shares when he this bought shares?For example, if John owns 1.5% of the company and he owns 150 shares, he can use the following formula:
Total number of issued shares = Number of John's shares ÷ John's ownership percentage
Total number of issued shares = 150 ÷ 0.015 = 10,000
So, if John owns 150 shares in the company and he was told he owns 1.5% of the shares, then the total number of issued shares is 10,000.
Market price of the shares:
To determine the market price of the shares, John can check the stock market or financial news websites for the latest price of the company's shares. Alternatively, he can check with his broker or financial advisor who can provide him with the latest market price of the shares.
Advice on selling his shares:
Here are three points that John should consider before selling his shares:
a. Understand the reason for selling: Before selling his shares, John should ask himself why he wants to sell. Is it because he needs the money or does he no longer believe in the company's potential? Understanding the reason for selling can help him make a more informed decision.
Consider the tax implications: If John sells his shares at a profit, he will have to pay capital gains tax on the sale. He should consult with a tax professional to understand the tax implications of selling his shares.
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HELP FOR CROWN!!!
what is one thing a bank will require you to have when you ask for an auto loan?
A. keys to the car
B. proof of auto insurance
C. driver's license
D. letter of recommendation
Answer:
It is either C or D
Explanation:
Answer:
Driver's License
Inventory that consists of the costs of the direct and indirect materials that have not yet entered the manufacturing process is known as:_________
Inventory that consists of the costs of the direct and indirect materials that have not yet entered the manufacturing process is known as material inventory.
Raw materials stock is the calculated cost of an organization's basic components that are used to build and manufacture its products. These are gadgets, considered “pre-production inventory,” currently in stock and anticipated use.
Raw materials are the input items or stock that an employer wishes to manufacture its merchandise. Examples of uncooked materials consist of steel, oil, corn, grain, fuel, lumber, forest assets, plastic, natural gas, coal, and minerals.
Uncooked substances, semi-finished items, and finished items are the three most important categories of inventory that might be accounted for in a business enterprise's economic debts.
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Dash Plumbing is an established company with 12 employees and a small office in the suburbs of Atlanta. The company had an old copier that was breaking down often, to the dismay of the staff, and it had the resources to buy a new one. Which best describes this situation
Answer:
The people at dash plumbing are in the market for a new copier
Explanation:
Since in the question it is mentioned that Dash publishing is an established company that has 12 employees and has a small office in Atlanta. Also the old copier breaks down and the resources to purchase
So the given situation represent that the dash plumbing people come in the market for a new copier and the same is to be considered
What is a sales lead? A. An employee on the customer service team who deals with existing customers B. A sales person who works on a residual commission structure C. An expert in Maslow's hierarchy of needs D. A potential customer who has shown interest in the company's product.
A sales lead is the company's product potential customer who has an interest in the product. Thus, option D is correct.
A sales lead is defined as the prospect with the ability to turn into a customer. The leads expressed their interest in the product by sorting, clicking links, searching the web, etc.
What are the features of sales leads?The sales leads are the consumer with the potential to become customers of the company's product. The leads express their interest in the product and increase the sales.
The market analysis and study of sales lead by the company helps in the formulation of the strategy for the increased market revenue.
Thus, sales leads are the potential customer that shows interest in buying the company's product. Thus, option D is correct.
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What happens to the rate of return (interest) on a bond if the price decreases?
a. The rate of return will remain the same as the value at maturity also increases. b. The rate of return will increase.
c. The rate of return will decrease.
d. The rate of return is not affected by the price of the bond.
The rate of return (interest) on a bond is inversely proportional to the price of the bond, so if the price of the bond decreases, the rate of return on the bond increases. This is known as the yield or yield-to-maturity (YTM) of the bond. Therefore, the correct option is B.
The rate of return will increase. The formula for yield-to-maturity is:
(Annual interest payment + (Face value - Price of bond) ÷ Number of years to maturity) ÷ ((Face value + Price of bond) ÷ 2)
For instance, if a bond pays a 5% annual interest payment on a face value of $1000 and is presently priced at $900, the yield-to-maturity (YTM) can be calculated as follows:
(50 + (1000 - 900) ÷ 10) ÷ ((1000 + 900) ÷ 2)
= (50 + 10) ÷ 950
= 0.06315 or 6.315%
Thus, if the bond's price decreases from $1000 to $900, the rate of return increases from 5% to 6.315%.
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Which of the following is NOT a type of account offered by commercial banks to the public?
(A) Trade account
(B) Savings account
(C) Current account
(D) Fixed deposit account
Trade accounts are NOT a category of accounts that commercial banks provide to the general public.
Which of the following is NOT a type of account offered by commercial banks to the public?Trade accounts are frequently made available by suppliers to their clients, enabling them to order goods and solutions on credit and pay for them later. These accounts have no connection to services offered by commercial banks, such as savings, credit, and time deposits accounts. However, commercial banks also provide the general public with additional sorts of accounts, including bank deposits, bank deposits, and fixed deposit accounts. Savings accounts let users put money in and take it out while collecting interest; credit lines are used for day-to-day transactions; and fixed deposit accounts, which provide higher interest rates but call for locking in the money for a set time period.
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PLEASE HELP ASAP!! CORRECT ANSWER ONLY PLEASE!!!
When measuring the return on an investment, the (annual, compounded, nominal, real) interest rate accounts for inflation, while the (annual, compounded, nominal, real) interest rate does not.
Answer:
Real
Explanation:
So, lets go over the basics of the differnt types of intrest rates.
There is nomial and real.
Nomial is the basic rate, which you can just think of as this:
For every 1% of a nomial rate that is 100 dollars, you get 1 dollar.
Real intrest rate is more complex, for it must factor in the inflation to this as well. This can be though of like this:
For every 5% of a real rate that is 100 dollars, if there is a 4% inflation, then you get 1 dollar.
Looking at your two answers, we can instantly say that:
When measuring the return on an investment, the real intrest rate accounts for inflation.
Now, the other question is basically the opposite, asking when measuring the return on an investment the ___ intrest rate does not account for inflation.
Well, we already have seen above that the nomial intrest rate is for more simple, and does not include the inflation.
So the answer to the second box is:
when measuring the return on an investment the nomial intrest rate does not account for inflation.
Answer:real
Explanation:
What is your long term career goal?
Question 22
1 pts
Which of the following is NOT a good reason to buy a stock index fund like the
S&P 500?
0 You want to have an investment that you don't have to monitor as closely as an actively
managed fund
0 You want to have an investment with low fees
O You want to "beat the market" with the return on your investment
O You want to have a diversified portfolio
Previous
Next
Answer:
You want to "beat the market" with the return on your investment
Explanation:
The SP 500 is a good example of diversified portfolio investment. Investing in the index fund is less costly compared to other investment instruments. The SP 500 is considered the benchmark of investment returns in the US. Any attempts to perform better than the SP 500 is termed as trying to "beat the market."
Investors prefer good stock indexes like the SP 500 because they represent diversified investments. They spread risks in many sectors of the economy. Stock indexes have low investment costs and don't need close contact monitoring. Trying to "beat the market" with stock indexes is a daunting task. Any investor who attempts it will end up very frustrated.
An owner advertised "beautiful acreage only $5,000 down, owner will personally finance down payment." Would this be in violation of the Truth in Lending Act?
Answer:
No, owners are not covered by the Truth in Lending Act.
Explanation:
Based on this scenario it can be said that No, owners are not covered by the Truth in Lending Act. This regulation basically requires that all financing terms and conditions are disclosed if any such aspect like a low-interest rate, downpayment or other enticement is featured in the advertisement. Even though this is the case in this scenario, the Truth in Lending Act does not apply to individuals selling their own property and therefore does not apply in this situation.
is capital the amount of sales a business has? true or false?
Answer:
false
Explanation:
Capital refers to the resources or wealth used to start and maintain a business. It includes money and assets a business uses to produces other goods or offer services to its customers. Capital represents the owners' contribution to the business.
For an ongoing business, capital is calculated by subtracting liabilities from the assets. i.e., capital is equal to assets minus liabilities. Profits increase capital while losses decrease it.
Sales refer to money generated through a firm's trading activities. It is the money received from customers for goods sold or services rendered. Sales are often referred to as revenues.
as a gift you receive a bond that will pay interest of $450 every 6 months for 25 years. if the coupon rate is 9% per year, the face value of the bond is
To calculate the face value of the bond, we need to first understand what a coupon rate is. A coupon rate is the annual interest rate that a bondholder will receive on the face value of the bond. In this case, the coupon rate is 9% per year, which means that the bondholder will receive 9% of the face value as interest every year.
Given that the bond pays $450 in interest every 6 months, we can calculate the annual interest as follows:
Annual interest = 2 x $450 = $900
Now, we can use the formula for calculating the face value of a bond as follows:
Face value = Annual interest / Coupon rate
Face value = $900 / 9% = $10,000
Therefore, the face value of the bond is $10,000. This means that if the bond is redeemed after 25 years, the bondholder will receive the face value of $10,000, in addition to the interest payments received every 6 months over the course of the 25 years.
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manufacturing costs include question 6 options: 1) direct materials and direct labor only. 2) direct materials and manufacturing overhead only. 3) direct labor and manufacturing overhead only. 4) direct materials, direct labor, and manufacturing overhead.
Manufacturing costs refer to all the costs incurred during the production of goods. These costs can be divided into three main categories, which are direct materials, direct labor, and manufacturing overhead. Therefore, the correct option is 4).
Direct materials refer to the cost of all the raw materials that are used in the production process. These materials are directly used in the production of the final goods, and their cost can be easily traced to each unit of production.
Direct labor refers to the cost of all the labor that is directly involved in the production process. This includes the wages and salaries paid to workers who are directly involved in the manufacturing process.
Manufacturing overhead refers to all the other manufacturing costs that cannot be directly traced to a particular unit of production. These costs include the cost of utilities, rent, depreciation of manufacturing equipment, and indirect labor.
Therefore, the correct option is 4) direct materials, direct labor, and manufacturing overhead. All three categories of costs are necessary to produce the final product and are included in the manufacturing costs.
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if spotify purchased pandora, leaving only one company remaining at the conclusion of the purchase, this would be referred to as a(n) .
It would be referred to as a(n) if Spotify bought Pandora, leaving just one business standing after the transaction. merger.
The required details about Merger is mentioned in below paragraph.
Mergers bring together two different companies to form a single new legal entity. True mergers are unusual because it is uncommon for two comparable businesses to gain from combining their resources, personnel, and CEOs. Acquisitions do not lead to the creation of a new company, in contrast to mergers. The ownership of corporations, other business organizations, or their operating units may be transferred to or consolidated with another company or business organization through commercial transactions known as mergers and acquisitions. A merger occurs when two businesses come together to form a new business. Companies merge to lessen competition, expand their market share, or launch new goods and services.
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Select the items that are needs from your bank statement. ABC BANK Available Balance $230.00 Cell phone plan$45 Rent$400 Car insurance$60 Backpack$10 Electric bill$60 Car payment$250 Submit
Answer:everything but the backpack
Explanation:
Which of the following is NOT an example of a metric
?
Answer:
can you tell me what the choices are and I'll answer in the comments
Explanation:
floor gang aooh sub to pewdiepie
An investment that costs $5,800 will produce annual cash flows of $2,480 for a period of 4 years. Given a desired rate of return of 9%, what is the present value index?
Based on the present value of the annual cash flows and the investment cost, the present value index is 1.39
How is the present value index calculated?To find the present value index, use the formula:
= Present value of cash flow/Investment cost
The present value of cash flow is:
= Annual cash flows x Present value interest factor of annuity, 9%, 4 years
= 2,480 x 3.239719877
= $8,034.51
The present value index is:
= 8,034.51 / 5,800
= 1.39
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The financial markets are a relatively new technological development created in the last 50 years.
Answer:
False
Explanation:
Wall Street, which is one of the most famous financial markets in the US was established in 1792. In Europe, financial markets exist since the middle ages. Modern banking started in Italy in the 12th century.
Telecommunications improved how financial markets work during the 20th century and expanded their reach, but they are almost 900 years old.
Help answer these two questions pleaseee
1. Across the course, you've learned about many other desktop publishing software programs besides PowerPoint. Identify at least two other technologies available for desktop publishing (the software can be presentation-based, word processing, spreadsheet software.etc.). What are some common features across PowerPoint and these other programs?
2. What are 2 differences that could be expected in how an employee would speak to other staff members in a truly flat organizational structure compared to a hierarchical structure?
Answer:
1.
At least two other technologies available for desktop publishing:
Microsoft WordMicrosoft ExcelMicrosoft PublisherCommon features across PowerPoint and the above programs:
These programs are all part of the Microsoft 365 (formerly Microsoft Office) suite of software tools. They are available for both personal and professional use. All programs use a subscription model. They are designed to be compatible across Microsoft's entire product line and allow for instant collaboration among multiple registered users.
2.
Two differences in how an employee might speak to other staff members in a flat organizational structure versus a hierarchical structure:
Less expectation of formality: speech would likely be delivered in a more casual manner and tone among many staff membersAn increase in dialogue: a reduction or elimination of middle management necessitates increased collaboration among staffWhy is money management important? How would you rate your own money management?
Answer:
because it has money
Explanation:
Answer:
Money management is important because you should have a balance of bills to pay, and money you keep for fun. If you don't have this then you might have to pay to much money for bills, and you not having enough to pay them off.
Explanation:
need help urgent
3. Remote teams are the future of work. The Global Business has estimated that over 40% of the world's working population will be mobile by 2022. With your own words, explain what you understand on "t
Based on the given statement, it seems that "t" refers to the concept of remote work or telecommuting. The statement suggests that remote teams, where individuals can work from locations outside of a traditional office setting, are becoming increasingly prevalent in the modern work environment. It is estimated that by 2022, more than 40% of the global working population will be engaged in mobile work.
The "t" in this context represents the trend and adoption of remote work as a viable and preferred way of conducting business. It signifies the transition from the traditional office-based work model to a more flexible and location-independent approach. With advancements in technology and connectivity, employees are now able to collaborate, communicate, and complete their work tasks remotely, regardless of their physical location.
The rise of remote teams can be attributed to several factors. Firstly, technological advancements have made it easier for individuals to connect and collaborate with colleagues and clients from anywhere in the world. Tools such as video conferencing, project management software, and cloud-based storage have facilitated seamless communication and efficient workflow.
Additionally, the benefits of remote work have become more apparent. For employees, it offers increased flexibility, improved work-life balance, and the opportunity to work in environments that are conducive to their productivity and well-being. Employers, on the other hand, can benefit from reduced overhead costs, access to a global talent pool, and increased employee satisfaction and retention.
It is important to note that the adoption of remote work is not without its challenges. Managing virtual teams requires effective communication, trust-building, and the establishment of clear expectations and guidelines. It also requires the right infrastructure and support systems to ensure that employees have the necessary tools and resources to perform their tasks efficiently.
In conclusion, the "t" in this context represents the growing trend of remote work and the increasing number of individuals who will be working in mobile or remote teams. It signifies the shift towards a more flexible and location-independent work model that is enabled by technology and offers numerous benefits to both employees and employers.
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Which is a new addition to the market or a novel change in an existing product or service? a. advancement b. innovation c. invention d. market addition
The term that best describes a new addition to the market or a novel change in an existing product or service is "innovation". So, the correct answer is b. innovation
Innovation refers to the introduction of new ideas, methods, or products that provide a better solution to existing problems or needs. Unlike invention, which refers to the creation of a completely new product or idea, innovation often involves improving on an existing product or service to make it more efficient, effective, or user-friendly.
Advancement, on the other hand, refers to the overall progress or improvement of a particular industry or field, while a market addition is simply a new product or service that has been added to an existing market.
In summary, innovation is the key driver of progress and growth in today's rapidly changing business landscape, and it is crucial for companies to stay innovative in order to stay competitive and meet the evolving needs of their customers.
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Regina, a 25-year-old professional, wants to start an investment portfolio. What strategy may her financial advisor suggesta
A.Start a moderate portfolio and shift to high risk later in life.
in luce
B.Invest only in national companies.
C.Buy 100% international stocks.
D. Choose a high-risk portfolio now and change it, if needed, in the future.
Answer:
A.Start a moderate portfolio and shift to high risk later in life.
Explanation:
Investment portfolio may be defined as the financial investments done by one. It is the collection or ownership of various assets and stocks, bonds, real estates, cash, etc.
In the context, Regina who is 25 year old wishes to start an investment plan. For this her financial advisor may suggest her to start her investment in a moderate portfolio and then later may shift to a high risk portfolio. This is because Regina is young and is new to investment. She is not experience enough to invest in high risk portfolio. When she gains knowledge about investments in her life then she can properly plan her investment in order to achieve maximum profit.
PLEASE HELPPPPP
In PBL students use...?
Question 1 options:
communication skills
design skills
research skills
all of the above
ANSWER:
all of the above
How is authority and control distributed in each type of team?
The distribution of authority and control in a team can vary depending on the type of team. In hierarchical teams, authority and control are centralized, with leaders or managers making decisions and exercising control over team members.
In self-managed teams, authority and control are decentralized, allowing team members to have a say in decision-making and take responsibility for their own work.In hierarchical teams, authority and control are typically concentrated at the top, with leaders or managers having the final say in decision-making. They have the power to delegate tasks, set goals, and monitor team members' performance. This centralized structure ensures a clear chain of command but can limit individual autonomy and creativity.
On the other hand, in self-managed teams, authority and control are distributed among team members. Decision-making is more collaborative, with team members actively participating in setting goals, planning, and problem-solving. Each member has a certain level of autonomy and is responsible for their own work, which can enhance motivation and innovation within the team.
It's important to note that the distribution of authority and control may vary across different types of teams and organizations, and hybrid models combining elements of hierarchy and self-management are also possible.
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Consider the four different types of teams. How is authority and control distributed in each type of team? What are the key advantages and disadvantages of each team model? What skills do you consider most important when it comes to teams and teamwork? Which of these skills do you feel you possess and which ones do you need to develop further? Why are larger groups less effective than smaller ones? Why do you think managers tend to overstaff groups and teams?
What forms can firms take?
Answer:
sole proprietorship
partnership
corporation
limited liability company
Will you act immediately on the business opportunity \that you have identified?
Answer:
Yes because once one has found an opportunity one must seize it.
Explanation:
It is not advisable to act immediately on the business opportunity that is determined.
A business opportunity includes the lease or sale of any specific product, equipment, or service that will help or make it possible for the purchaser-licensee to begin a business. It is important to consider certain other factors before immediately acting on the business opportunity that is determined. They are:
Size of the Market Relationships with potential investors or customers Capability to manage the Cash Flow Persistence and Passion Management skillsThus, we can conclude that one must not act immediately on the business opportunity that is determined before properly analyzing different factors associated with it.
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please help me answer these questions
Answer: See explanation
Explanation:
1. Inelastic demand occurs when a change in price doesn't really have an effect on the quantity of the goods demanded. Examples of products with inelastic demand are salt and prescription drugs.
2. Elasticity for demand helps in the determination of the prices of factors of production. It is also vital in knowing how price changes will affect the revenue of the firm.
3. Normal goods are the goods that when income increases, the demand for them increases as well e.g. household appliances
For inferior goods, when Income increases, their quantity demand reduces. These are common with extremely cheap products.
Question 7 of 10
Which of the following is a tax-advantaged savings plan designed to
encourage savings for future college costs?
A. University plan
B. 529 plan
C. Scholarship plan
D. 592 plan
Answer:
It is the 529 plan to save money for college.
Explanation: