If the maturity yield remains unchanged, the bond will generate a investment income of 0.38% during the next year.
What was meant by "interest"?
Interest is the cost you earn to borrow the money or the expense you start charging to lend money. Interest is typically expressed as an annual proportion of the loan amount. This percentage is referred to as the loan's interest rate.
Briefing:
Coupon = 0.089 * 1000 = 89
Yield to maturity = 10.3775%
Keys used in an economic calculator: FV 1000, PV -890, N 15, PMT 89, CPT I/Y
Number of years until maturity = 15 - 1 = 14
Current price = Coupon * [1 - 1 / (1 + r)n] / r + FV / (1 + r)n
Current price = 89 * [1 - 1 / (1 + 0.103775)14] / 0.103775 + 1000 / (1 + 0.103775)14
Current price = 89* 7.217546 + 250.999152
Current price = $893.3608
Capital gain = [(893.3608 - 890) / 890] * 100
Capital gain = 0.38%
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What do you mean by a facilitator? What are the major jobs of a facilitator of non formal educational programme
Explanation:
It is important to note that much of the intermittent formal learning throughout people's....Part of being an effective facilitator of informal learning ( and non-formal education) involves.
Answer:
The definition of facilitate is "to make easy" or "ease a process." What a facilitator does is plan, guide and manage a group event to ensure that the group's objectives are met effectively, with clear thinking, good participation and full buy-in from everyone who is involved.
the proprietor introduce another $5000 cash in to the firm
The firm paid out $5,000 in cash. The equation stays in harmony. >> Property. 5. Financial Interest.
What does existing proprietor mean?A sole proprietor is an individual who owns an unincorporated business on his or her own. A proprietor is defined as someone who owns or runs a business. A shoe shop proprietor is an example of a proprietor. 1. An only proprietor is the sole owner of an unincorporated enterprise. The business owner, also known as a proprietor or a trader, uses their legal name to conduct business. They can also choose to do business under a different name by registering a trade name with their local government. the owner of a business, a hotel, etc. a person who has the sole right or title to something; an owner, as of real estate a group of proprietors; exclusive.To learn more about proprietor, refer to:
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2.1.4 King Code D This shows the financial performance of a business for a financial year (4 X 1) = (4) 1.2 KINGSTON TRADERS The information relates to the financial year ended 29 February 2020. Goods are sold at a profit mark-up of 40% on cost. REQUIRED: Prepare the Income Statement (Statement of Comprehensive Income) for (46) the year ended 29 February 2020),
Both of these choices are correct as they are rightly presented.
KINGSTON TRADERS
Statement of Comprehensive Income
For the Year Ended February 29, 2020
Net income $140,000
Other comprehensive income $20,000
Comprehensive income $160,000
KINGSTON TRADERS
Income Statement
For the Year Ended February 29, 2020
Sales $625,000
Cost of goods sold $350,000
Gross profit $275,000
Operating expenses $135,000
Net income $140,000
Other comp. income $20,000
Comprehensive income $160,000
The terms "profit" and "income" are often used interchangeably in life. In corporate finance, however, those terms could have very different and specific meanings, depending on the context in which they are used.
while income does mean positive flow of cash right into a business, net income is something much more complex. profit is generally understood to refer to the cash that is left over after accounting for expenses. although each gross earnings and working profit fit this definition in the simplest sense, the kinds of income and expenses which are accounted for differ in important ways
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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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He said," I don't like you" change in indirect speech
Answer:
whether'.
Explanation:
How does the exchange rate method of comparing incomes differ from the purchasing power method of comparing incomes?
The purchasing power parity uses the balance of payments account to explain differences in currency value, while the exchange rate method compares the relative sizes of the two country's money supply.
The exchange rate method compares incomes by looking at the domestic purchasing power of money in different countries, while the purchasing power method uses rates of inflation to explain differences in currency value.
The purchasing power method adjusts the incomes in different countries by looking at the domestic cost of living in each country.
The exchange rate method uses the balance of payments account to explain differences in currency value, while the purchasing power method compares the relative sizes of the two country's money supply
The exchange rate method of comparing incomes differs from the purchasing power method of comparing incomes is that the exchange rate method compares incomes by looking at the domestic purchasing power of money in different countries, while the purchasing power method adjusts the incomes in different countries by looking at the domestic cost of living in each country.
It is important to note that the exchange rate method is based on the exchange rate between two currencies, which is the price at which one currency can be exchanged for another. This method compares the value of one currency to another in terms of the goods and services that can be purchased with it. For example, if the exchange rate between the US dollar and the British pound is 1:0.75, then one US dollar can buy 0.75 British pounds worth of goods and services.
On the other hand, the purchasing power method of comparing incomes takes into account the differences in the cost of living between countries. This method adjusts the incomes in different countries to reflect the amount of goods and services that can be purchased with that income. For example, if the cost of living in the US is higher than the cost of living in Mexico, then the purchasing power of a dollar in the US is lower than the purchasing power of a dollar in Mexico.
In summary, while the exchange rate method compares the relative sizes of the two country's money supply, the purchasing power method uses rates of inflation to explain differences in currency value. Additionally, the exchange rate method compares incomes by looking at the domestic purchasing power of money in different countries, while the purchasing power method adjusts the incomes in different countries by looking at the domestic cost of living in each country.
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Click this link to view O*NET’s Work Activities section for Registered Nurses. Note that common activities are listed toward the top, and less common activities are listed toward the bottom. According to O*NET, what are some common work activities performed by Registered Nurses? Select four options.
communicating with supervisors, peers, or subordinates
making decisions and solving problems
repairing and maintaining mechanical equipment
drafting technical devices
assisting and caring for others
documenting/recording information
Some common work activities performed by Registered Nurses are:-
Making decisions and solving problems.Assisting and Nurses for others.Communicating with supervisors, peers, or subordinates.Drafting technical devices.Evaluating, Nurses watching, and conversing with patients keeping a record of the symptoms, medical history, and state of health of the patient. Patient Care preparation for examinations and treatment. administering medications and therapies, then keeping track of patients' reactions and negative effects.
Usually, Nurses EMTs and paramedics do the following tasks: Respond to 911 calls for emergency medical help, such as doing CPR or bandaging a care wound. Typically, bioengineers and biomedical engineers do the following tasks: Create tools and gadgets, such as synthetic internal organs, body part replacements.
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Which is the best description of a balance sheet? (1 point)
Answer: the balance sheet is a financial statement that provides a snapshot of what a company owns and owes, as well as the amount invested by shareholders. Balance sheets can be used with other important financial statements to conduct fundamental analysis or calculate financial ratios.
George has $2,500 to invest in a mutual fund. The expected return on mutual fund A is 12% and the expected return on mutual fund B is 13%. Should George pick mutual fund A or B? a) He should pick mutual fund B because it has a higher expected return. b) If George is young, he should pick B because it has a higher expected return, regardless of risk. c) Since individuals are risk averse, he should pick A because its lower expected return implies lower risk. d) There is not enough information to make the determination because the decision also depends on the variability of the expected return and George's attitude toward risk.
The best way for an investor to invest in a mutual fund depends on several factors, including the expected return on investment and the investor's risk tolerance. Therefore, option (d) is the correct choice.
George possesses a sum of $2,500 that he intends to invest in a mutual fund.
The expected return on mutual fund A is 12%, while the expected return on mutual fund B is 13%.
The right choice for George will depend on his risk tolerance.
If George is risk-averse and prefers low-risk investments, he should select mutual fund A, which offers a lower expected return than mutual fund B.
On the other hand, if George is willing to take more risks in pursuit of higher returns, he should choose mutual fund B, which offers a higher expected return.
Thus, option (d) is the right answer.
The available information is insufficient to reach a definitive conclusion as the decision is influenced by additional factors, such as the variability of the expected return and George's risk preferences.
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select the two primary characteristics that define advertising.
The two primary characteristics of advertising are its persuasive nature and its ability to be tailored to an audience.
Persuasive advertising aims to make the consumer believe that a particular product or service is desirable or necessary. Advertising is also tailored to a particular audience, either in terms of demographics (e.g. age, gender, income) or through the use of tailored messages. For example, a company may target different age groups with different advertisements, in order to best reach each target audience. The persuasive nature of advertising is coupled with its ability to be tailored to different audiences, making it a powerful tool to shape consumer behavior.
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What were the two main opposing views of Adam Smith and Karl Marx?
Answer:
Adam Smith, author of "The Wealth of Nations", was a staunch believer in the free market and private property. Karl Marx, on the other hand, believed that the free market was destroying the world and leading to the "exploitation" of the middle class and the poor.
distribution requirements planning helps to synchronize supply chain partners at the a. primary storage level. b. secondary delivery level. c. primary schedule level. d. master schedule level.
The main answer is d. master schedule level. Distribution Requirements Planning (DRP) helps to synchronize supply chain partners at the master schedule level.
This means that DRP assists in aligning the production and distribution plans of various partners in the supply chain. It involves coordinating the timing and quantity of inventory replenishment to meet customer demand while minimizing excess inventory and stockouts.
In more detail, DRP works by analyzing customer demand data, considering lead times, and coordinating with suppliers to ensure the right amount of inventory is available at the right time and in the right location. It helps in managing the flow of goods from suppliers to manufacturers, and from manufacturers to distributors or retailers.
By operating at the master schedule level, DRP allows supply chain partners to make informed decisions regarding production levels, order quantities, and delivery schedules. It promotes better collaboration and coordination among partners, leading to improved efficiency, reduced costs, and enhanced customer satisfaction.
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Why was there no unemployment in the USSR?
Officially, there has not been unemployment in the Soviet Union since 1930. However, it is becoming increasingly difficult for the Russians to ignore the rising number of unemployed people.
Was there full employment in the USSR?Over the course of more than half a century, the Soviet Union's various leaderships kept their word on the promise of full employment. However, job security existed even before the nation collapsed at the end of 1991; The stark reality of unemployment had emerged.
Was poverty eradicated in the Soviet Union?The skyrocketing rates of poverty have steadily decreased ever since the fall of the Soviet Union. From 1998 to 2003, around 40 million people were able to escape poverty, despite some growth disparity between urban and rural areas and among different economic classes.
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how long does it take for tax refund to show in bank account after approved
Answer:
Assuming no issues, IRS issues tax refunds in less than 21 calendar days after IRS receives the tax return. IRS has an on-line tool, "Where's My Tax Refund", at www.irs.gov that will provide the status of a tax refund using the taxpayer's SSN, filing status, and refund amount.
Explanation:
Which industry is the second-largest employer of teens
and young people?
What percentage of employed teens are employed by
the government?
I got it
is retail trade
and 7%
Answer:
I. Retail industry
ii. 7%
Explanation:
Retail industry is the second largest employers of teen and young people next to health sector which is the largest employer.
Retailing involves buying goods either from the producers or wholesaler and selling them to the final consumers. Some services are also offered in these retailing such as call center representative, those who work in innovation lab. etc
In the United States, about 7% of teens and young people are in the employment of government , while retail industry is the largest employer of teen and young people because it provides flexibility and also do not involve much academic qualifications.
Example of these retail jobs are those who work in call center, sales representatives and those who works in stores.
Answer:
Retail Trade
7%
Explanation:
Edge 2020
8.do you expect that the variability of your process would have changed as you made investments in prevention? does this mean that the control limits should be recalculated
New investment will reduce the process variability if the cause of variation is inefficient process such as old machineries, but investment will not reduce variability if the variation factor is less controllable such as natural variation in the input or climatic change. In case the investment aims at improving the process, a new control limit should be calculated.
Process variability leads to larger investments in servicing and maintenance of machinery, as well as higher inspection expenses. It can also result in material and final product waste, as well as negative environmental consequences. All of this has an impact on quality, causing a domino effect in other areas.
There are several causes of process variability such as variability in material, error in machine configuration, or the wear of the machine. New investment is not automatically reduce the process variability unless the factor that process variability is inefficient production process and needs new investment for process improvement.
In case the investment id for improving the production process, new control limit should be calculated.
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Why is it important to maintain network relationships, even after you have found a job?
a. You never know when you are going to have to find a new job.
b. You can return the favor by helping network members with career advice and job leads.
You will remain informed and connected to people in your field.
d. All of the above
C.
Please select the best answer from the choices provided
ΟΑ
B
С
OD
Answer:
D (all of the above)
Explanation:
When a person has gotten a job, it is critical to keep network contacts since a person never know when he will need to locate a new career, and he will stay informed and connected to bin his sector.
What is network relationships?Relationship networking is another name for network relationships. It's all about making connections and finding ways for both sides to gain. Like the relationship, networking and partnerships intersect in numerous ways, resulting in economic potential.
Even when a person has gotten a job, it is critical to keep network contacts since you never know when you will need to locate a new career, and he will stay informed and connected to people in the sector.
With the utilization of network ties, an individual might refund the kindness by supplying career counseling and job metals to network members.
Therefore, option D is correct.
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The slope of a budget constraint line is influenced by:a. the tastes and preferences of the decision-maker.b. none of the abovec. how much one item costs compared to the cost of the other item.d. how effectively one more of each of the two competing goods satisfies wants.
The slope of such a budget line line is effected by the proportion of a price of just one great to the price of another.
C is the correct answer.
What factors influence the curve of a budget line line?The relative price of the options determines the curve of the budget constraint. Choices outside of the budget are unaffordable. The cost of opportunity is measured by how much is given in exchange.
How steep is the initial budget line?The cliff face of the total budget is the price ratio of good 1 as well as good 2. This would imply dividing the price of goods on the x axis by the price of goods on the y axis.
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Given X = 22+10-((5/25)*100), X is: a. 31.998 b. 13.5 c. 12 d. 3,180
The value of X is 12 when solved using PEDMAS. The correct answer is c.
To solve this problem, we must follow the order of operations or PEMDAS (Parentheses, Exponents, Multiplication and Division, and Addition and Subtraction) to simplify the expression.
First, we have to solve the parentheses, which involves dividing 5 by 25, resulting in 0.2, and then multiplying it by 100, resulting in 20. So the expression now becomes:
X = 22 + 10 - 20
Next, we can combine the integers 22 and 10, which gives us 32. So now we have:
X = 32 - 20
Finally, we can subtract 20 from 32, which gives us:
X = 12
Therefore, the answer is c. 12.
It is important to follow the order of operations to get the correct answer. Failing to do so can result in a wrong answer. PEMDAS is a mnemonic device that helps us remember the correct order of operations.
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what is Pyramid scheme
Answer:
A pyramid scheme is a business model that recruits members via a promise of payments or services for enrolling others into the scheme, rather than supplying investments or sale of products. As recruiting multiplies, recruiting becomes quickly impossible, and most members are unable to profit; as such, pyramid schemes are unsustainable and often illegal.
Explanation:
what does revenue mean in accounting?
a. cash
b. profit
c. debit
d. customer sales
Answer:
b
Explanation:
hope itttttt helps
snack Ska BMX she
Make a poster that could be used to educate people about why the
government needs to charge taxes. The poster should encourage private
individuals to pay their taxes by educating them about what the government
uses the taxes for.
Taxes are used by the government for carrying out various welfare schemes including employment programmes
What are the taxes collected by the government?It includes collections from income tax, corporation tax, customs, wealth tax, tax on land revenue, etc. Direct tax is the tax that is paid directly to the government by the person or company on whom it is levied. Income tax, wealth tax, corporation tax, and property tax are some examples of direct tax.The Central Government of India imposes taxes such as customs duty, central excise duty, income tax, and service tax. The state governments impose income tax on agricultural income, state excise duty, professional tax, land revenue and stamp dutyThe three main sources of federal tax revenue are individual income taxes, payroll taxes, and corporate income taxes. Other sources of tax revenue include excise taxes, the estate tax, and other taxes and feesTo learn more about taxes collected by the government refers to:
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Pays for everything from Social Security and Medicare to military equipment, highway maintenance, education, and more
Why does the government need to force individuals to pay taxes?We pay taxes to ensure that our federal, state, and local governments can function efficiently and deliver essential services. Each government has its own emphasis, with the federal government in charge of big-picture expenditures on items like military and Social Security. Spending by the federal government covers everything from Social Security and Medicare to military equipment, transportation repair, education, and more. The federal government spent the most on Social Security in 2022.
Taxation generates cash for federal, state, and municipal governments to support vital services like as defense, highways, police, and a judicial system, which benefit all residents who would be unable to provide such services successfully for themselves.
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the nominal interest rate in the u.s. is 5% and the nominal interest rate in canada is 3%. the spot value of the u.s. dollar is 1 ($/canadian dollar) and the forward rate is 1.2 ($/canadian dollar). calculate the forward discount or premium for the dollar. does the interest parity condition hold? if not, explain what is likely to occur in foreign exchange markets. assume that interest rates cannot change.
The nominal interest rate in the U.S. is 5% and the nominal interest rate in canada is 3%. the spot value of the U.S. dollar is 1 ($/Canadian dollar) and the forward rate is 1.2 ($/Canadian dollar). The forward discount or premium for the dollar is 20%.
To calculate the forward discount or premium for the dollar, we can use the formula:
Forward Discount/Premium = (Forward Rate - Spot Rate) / Spot Rate
Given that,
Spot Rate = 1 ($/Canadian dollar)
Forward Rate = 1.2 ($/Canadian dollar)
Foreign Interest Rate (Canada) = 3%
Domestic Interest Rate (U.S.) = 5%
Forward Discount/Premium = (1.2 - 1) / 1 = 0.2 / 1 = 0.2 or 20%
Therefore, the forward premium for the dollar is 20%.
We compare the nominal interest rates in the U.S. and Canada. If the interest parity condition holds, the forward discount or premium should reflect the interest rate differential between the two countries.
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Extotech has sales of $50 million, cost of goods sold for the same period of $15 million, and average inventory of $250,000. What is Exotech’s inventory turnover?
a. 200
b. 20
c. 60
d. 150
Inventory turnover measures how efficiently a company manages its inventory by indicating how many times the inventory is sold and replaced during a given period.
To calculate the inventory turnover, we divide the cost of goods sold by the average inventory.
Inventory turnover = Cost of Goods Sold / Average Inventory
Given that the cost of goods sold is $15 million and the average inventory is $250,000, we can plug these values into the formula:
Inventory turnover = $15,000,000 / $250,000
Inventory turnover = 60
Exotech's inventory turnover is calculated to be 60 based on their sales of $50 million, cost of goods sold of $15 million, and average inventory of $250,000.
This indicates that their inventory is turned over 60 times in a given period, highlighting their efficiency in managing inventory.
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Inventory turnover measures how efficiently a company manages its inventory by indicating how many times the inventory is sold and replaced during a given period.
To calculate the inventory turnover, we divide the cost of goods sold by the average inventory.
Inventory turnover = Cost of Goods Sold / Average Inventory
Given that the cost of goods sold is $15 million and the average inventory is $250,000, we can plug these values into the formula:
Inventory turnover = $15,000,000 / $250,000
Inventory turnover = 60
Exotech's inventory turnover is calculated to be 60 based on their sales of $50 million, cost of goods sold of $15 million, and average inventory of $250,000.
This indicates that their inventory is turned over 60 times in a given period, highlighting their efficiency in managing inventory.
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The Law of Demand states that as...
A. As prices increases Quantity demand increases
B.As price increases quantity demand decreases
C.Price changes have no effect on quantity
D.Price changes shift the demand left or right
Answer:
b is ur answer
Explanation:
Answer:
A
Explanation:
The more people want something the more valuable it is. Like when new shoes or the new PS or Xbox are released are cases of Law of Demand
Future Clothes Inc., a publicly traded company, designs and manufactures wearable technology. What approach should Future Clothes take after a long period of horizontal integration in its industry? Assume that the industry is now stable and competitors have not made any major changes in price or marketing recently.
Answer:
The interpretation of the discussion is characterized throughout the explanation segment below.
Explanation:
Concentrate on an investigation as well as implementation or enhancement as something with a category or manner of price-free competitive advantage. With more than just related diversification, there is much less inflationary pressure as well as the corporation or manufacturer should start concentrating on non-price competitive advantage throughout the opportunity to expand mostly on the supply chain.So the answer here is just the appropriate one.
Generally, it is a sound business practice to take advantage of cash discounts. the money saved by paying invoices promptly is free to be used elsewhere. conversely, there is an implicit (opportunity) cost of foregoing a cash discount. by forgoing a cash discount, the small business owner is, in effect, paying an annual interest rate to retain the use of the discounted amount for the remainder of the credit period.
For example, assume that Jill anticipates she will receive invoices for $500 from the vendors offering cash discounts of 3/10, net 45.
a) how much will Jill save by paying within the discount period?
b) what will it cost Jill to retain the use of credit for 45 days?
c) what is the annual interest rate of the "loan" (ie. what is the annual rate of 3/10, net 45)?
Answer: a. $485
b. $15
c. 32.28%
Explanation:
a. how much will Jill save by paying within the discount period?
3% × $500 = 3/100 × $500 = 0.03 × $500 = $15
The amount saved will be:
= $500 - $15.
= $485
b) what will it cost Jill to retain the use of credit for 45 days?
This will be:
= 3% × $500
= 3/100 × $500
= 0.03 × $500
= $15
c) what is the annual interest rate of the "loan" (ie. what is the annual rate of 3/10, net 45)?
c) The annual interest will be calculated using:
= P x R x T
where,
I = interest = $15
P = principal = $485
R= rate of interest = Unknown
T= time factor = 15/365 = 0.0958
Then, annual Interest rate will be:
R = 15/ (485 x 0.0958)
R = 32.28%
Annual Interest rate is 32.28%
You make $18.50 per hour and work 40 hours
per week. You are paid once per month, and
pay 30% in taxes and deductions.
1. How much do you make per month after
taxes and deductions?
2. How much do you make per year after taxes
and deductions?
Answer:
Net earning per month = $2,072
Net earning per year = $26,936
Explanation:
Given:
Amount earn per hour = $18.50
Number of hour in a week = 40 hours
Taxes and deduction = 30% = 0.3
Find:
Net earning per month
Net earning per year
Computation:
Net earning per month = [Amount earn per hour][Number of hour in a week][Number of week in a month][1-Taxes and deduction]
Net earning per month = [18.50][40][4][1-03]
Net earning per month = $2,072
Net earning per year = [Amount earn per hour][Number of hour in a week][Number of week in a year][1-Taxes and deduction]
Net earning per year = [18.50][40][52][1-0.3]
Net earning per year = $26,936
Moneygrabber mutual fund gains 25% in year one and loses 20% in year two. What is its
actual annual return?
O-5%
0%
5%
10%
The actual annual return of Money grabber mutual fund is 0%. The appropriate response is option B.
What is mutual fund?A corporation that pools money from several people and invests it in securities like stocks, bonds, and short-term debt is known as a mutual fund. The portfolio of a mutual fund refers to all of its holdings. Mutual fund shares are purchased by investors. Each share reflects a shareholder's ownership interest in the fund and the revenue it produces.
The mutual fund gains 25% in year one and loses 20% in year two, thus the average annual rate of return is 2.5%. The actual annual rate is 0%.
The appropriate response is option B.
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The rate at which a business increases revenue from sales is
Answer:
There are only four ways to increase revenue in your business: increase the number of consumers, increase the average transaction size, increase the frequency of transactions per client, and raise your rates.
Explanation: