When a company issues bonds, it receives cash from investors in exchange for the bonds. The amount of cash that the company will receive is calculated based on the face value of the bonds, the issue price, and any associated costs.
In this case, the company issued $200,000 of bonds at 101.5. The face value of the bonds is $200,000, and the issue price is 101.5% of the face value. To calculate the amount of cash that the company will receive, we need to multiply the face value by the issue price percentage and convert it into a decimal:
Cash Received = Face Value x Issue Price Percentage
Cash Received = $200,000 x 101.5% / 100
Cash Received = $200,000 x 1.015
Cash Received = $203,000
Therefore, the company will receive $203,000 in cash from the issuance of the bonds.
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In the short run, low barriers to entry and exit allow new entrants into a monopolistically competitive market. True or false?.
False , because exit and entry from a monopolistic competition occur in the long run rather than the short run, and because profit is the stated measure of how much competition there is in the long run.
what is monopolistic competition?A form of imperfect competition known as monopolistic competition pits several producers against one another while still providing goods that are distinguishable from one another (for example, by branding or quality) and are thus not exact replacements. In monopolistic competition, a corporation accepts the prices set by its competitors as given and pays no attention to how its own prices affect those of its rivals. Monopolistic competition will turn into a government-granted monopoly if this occurs in the face of a coercive government. In contrast to ideal competition, the business keeps extra capacity.Industry models frequently adopt monopolistic competition models. Restaurants, cereals, apparel, shoes, and service sectors in big cities are a few examples of businesses with market systems resembling monopolistic rivalry from textbooks.To learn more about the monopolistic competition, refer to the following link:
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A government securities dealer quotes a 3 month Treasury Bill at 6.00 Bid - 5.90 Ask. A customer who wishes to sell 1 Treasury Bill will receive:
The customer who wishes to sell one (1) Treasury Bill will receive $5.90 if a government securities dealer quotes a 3 month Treasury Bill at 6.00 Bid - 5.90 Ask.
The "bid" price is the rate at which the buyer will purchase the security, while the "ask" (offer) price is the rate at which the seller will be willing to sell.
Thus, in this situation, the selling customer will receive $5.90 per Treasury Bill while the dealer will sell it for $6.00, making profit of $0.10 ($6.00 - $5.90).
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The OSHA Construction requirement of 1926.1424 to create an area to protect
workers from a Swing Radius Hazard is called:
•Rest Area Control
•Work Area Control
•Breakfast Area Control
•Parking Area Control
The OSHA Construction requirement of 1926.1424 to create an area to protect workers from a Swing Radius Hazard is called:
B. Work Area ControlWhat is Work Area Control?This refers to the section of work which is specifically designed to offer security and protection to workers so that they would not have a work-related injury.
With this in mind, we can see that the OSHA Construction requirement of 1926.1424 was made to create a Work Area Control which would protect workers from a Swing Radius Hazard.
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in the long run, all inputs are variable; in the short run, some inputs are fixed. group of answer choices true false
in the long run, all inputs are variable; in the short run, some inputs are fixed. The given statement is True
All inputs are changeable in the long term. Because fixed capital causes falling marginal production, there are no diminishing returns in the long term. Firms can select the best capital stock to achieve their target level of output.
The short run is a notion that asserts that at least one input is fixed while others are variable in the future.
However, in the long run, factory input is changeable, which implies that current businesses are not bound and can modify the size and number of factories they possess, whilst new firms can create or purchase factories to manufacture hockey sticks.
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make a list of things that should be considered while managing a factory or an industry
plz say correct answer not stipude answer
Bavarian Bar and Grill opened for business in November 2021. During its first two months of operation, the restaurant sold gift cards in various amounts totaling $5,200, mostly as Christmas presents. They are redeemable for meals within two years of the purchase date, although experience within the industry indicates that 80% of gift cards are redeemed within one year. Gift cards totaling $1,300 were presented for redemption during 2021 for meals having a total price of $2,100. The sales tax rate on restaurant sales is 4%, assessed at the time meals (not gift cards) are purchased. Sales taxes will be remitted in January. Required: 1. Prepare the appropriate journal entries (in summary form) for the gift cards and meals sold during 2021 (keeping in mind that, in actuality, each sale of a gift card or a meal would be recorded individually). 2. Determine the liability for gift cards to be reported on the December 31, 2021, balance sheet. 3. What is the appropriate classification (current or noncurrent) of the liabilities at December 31, 2021
1- Journal Entries: a. November 2021: Cash (or Accounts Receivable) $5,200 Gift Card Liability $5,200
b. December 2021: Cash (or Accounts Receivable) $2,100 Sales Revenue $2,000 Sales Tax Payable $80 Gift Card Liability $1,300
Gift Card Breakage Revenue $100 ($1,300 x 20%)
In November 2021, the restaurant received $5,200 in cash (or accounts receivable) from the sale of gift cards. This results in a liability for the restaurant as the gift cards are redeemable for meals within two years of the purchase date. In December 2021, customers presented gift cards with a total value of $1,300 to pay for meals that cost $2,100. Since the meals were sold in December, the restaurant collected 4% sales tax on the meals ($2,100 x 4% = $80). The $2,000 ($2,100 - $80) received from the customers is recorded as sales revenue, and the sales tax collected is recorded as a liability until remitted in January. The liability for the unredeemed gift cards at the end of the year is $1,300 ($5,200 - $2,100) and is recorded as a liability. The restaurant also recognizes $100 of breakage revenue ($1,300 x 20%) since experience within the industry indicates that 80% of gift cards are redeemed within one year.
2- Liability for Gift Cards:
The liability for gift cards to be reported on the December 31, 2021, balance sheet is $1,300.
3- Classification of Liabilities:
The liability for gift cards should be classified as current liabilities on the December 31, 2021, balance sheet since they are expected to be redeemed within one year.
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what is a major function of the securities markets?
The major function of the securities markets is : to assist businesses in finding long-term funding they need to finance operations, expand their businesses, or buy goods and services.
Security market is where investors trade in financial instruments. The market enable flow of capital from those that have it to those that need it.
Securities markets are divided into, which are :
Primary marketSecondary marketExamples of instruments traded in security market includes :
StocksSharesBondsHence, the securities markets assist business to finance operations, expand their businesses, or buy goods and services in a long term basis.
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At Frank's company, the strength of the organizational structure is that the results are based on
the effectiveness of the managers, but its main weakness is costs can be increased due to a
decrease in efficiency. This is an example of which structure?
Osimple
O functional
O divisional
O matrix
Answer:
divisional
Explanation:
-A simple structure s a structure in which there is little specialization and there is a central authority that controls everything and has the power.
-Functional structure is a structure in which a company is divided in groups according to specialized activities. Because of this specialization, companies with this structure can increase productivity but the communication is rigid and the cooperation between departments is difficult.
-Divisional structure is a structure in which there are different divisions and each one concentrates on a specific product or service and has all the functions and resources for that. This structure can create inefficiencies because the specialized functions are separated but the results of one division don't affect the other ones.
-Matrix structure is a structure in which employees report to more than one manager and it is used in companies that have different lines to have more flexibility and increase productivity.
According to this information and the statement, the answer is that this is an example of divisional stucture because in this structure each division has its own resources and specialized functions and because of that the results are based on the effectiveness of the managers but as each division has its own specialized functions, this creates inefficiencies.
Choose the term that best matches the description given.
_______detail the activities of the people both inside and outside of the organization.
Helps measure market success and detail the activities of the people both inside and outside of the organization. Hence, option C is appropriate.
What is the meaning of market?
To make the long-term strategic expenditures more appealing and provide the organization with a future vision, define your market as just a group of individuals and the task they are attempting to do.
A market is a place where buyers and sellers can meet and trade goods and services. Markets can be physical, like a store, or they can be digital, like an online retailer.
Any location where producers, retailers, or distributors sell and customers buy is a market. Websites, main streets, and stores are a few examples. The phrase may also be used to describe all customers who purchase a service or product. Market-based businesses frequently face competition from other businesses.
The entire number of buyers and sellers inside the region or area under consideration is referred to as the "market." The region can be the whole world, a nation, a state, or a city. The value, cost, and price of traded goods depend on the market's supply and demand forces.
Hence, option C is correct.
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How does exercising help you become more creative? A. It helps you to be less rigid in your thinking. B. It helps you to be open-minded. C. It increases your ability to think on your feet. D. It reduces stress.
Answer: It reduces stress
Explanation:
how has technology led to a lost in job
Explanation:
The development of technology has lead in loss of jobs for many ppl
In different factories they have been some development this decent years and the work that used to be done by many workers is now done only by a machine or a dozen.
Corporate bond A has a 6 percent coupon and matures in 3 years. Corporate bond B has a 6 percent coupon and matures in 15 years. The current interest rate is 6 percent. By how much will Bond A and Bond B change in price if the market rate increases to 6.5 percent
Answer:
New price of bond A = $986.76, this means that the price decreased by $13.24 or 1.32%.
New price of bond B = $952.99, this means that the price decreased by $47.01 or 4.7%.
Explanation:
Since the current market interest is 6%, then both coupons A and B are sold at face value. If the market interest increases to 6.5%, then
New price of bond A:
PV of face value = $1,000 / (1 + 6.5%)³ = $827.85
PV of coupon payments = $60 x 2.64848 (PV annuity factor, 6.5%, 3 periods) = $158.91
New price of bond A = $986.76, this means that the price decreased by $13.24 or 1.32%.
New price of bond B:
PV of face value = $1,000 / (1 + 6.5%)¹⁵ = $388.83
PV of coupon payments = $60 x 9.40267 (PV annuity factor, 6.5%, 3 periods) = $564.16
New price of bond B = $952.99, this means that the price decreased by $47.01 or 4.7%.
Which type of worker would most likely be able to begin work after receiving a high school degree and completing an on-the-job apprenticeship?
Answer:
LiveStock
Explanation:
Answer:
A miner I think. If that is one of the choices you have on your test.
Explanation:
Good luck. Tell me if this is wrong.
How much of the market did Vanderbilt control?
Since Vanderbilt started to issue shares to take over the company, a Us stock market has already been experiencing a trading frenzy.
How can you predict the future value of a stock?From of the current market prices, we are interested in knowing whether a stock will increase or decrease. Stock's fair price is the most accurate predictor of this. Stocks have a good chance of increasing in value in the future when their fair price is lower than their current price.
Why are stocks declining in value?The worldwide markets have recently fared nicely, but our markets have lagged behind our global peers since they have not experienced this trend. The selling by FIIs, who liquidated stocks in both the cash and index futures segments, has been the primary cause of the underperformance.
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Kapono Farms exchanged 100 acres of farmland for similar land. The farmland given had a book value of $580,000 and a fair value of $860,000. Kapono paid $66,000 cash to complete the exchange. The exchange has commercial substance.
Required:
1.1 What is the amount of gain or loss that Kapono would recognize on the exchange?
1.2 What is the initial value of the new land?
1.1. Calculation of the amount of gain or loss that Kapono would recognize on the exchange:Explanation:According to the given problem, Kapono Farms exchanged 100 acres of farmland for similar land. The farmland given had a book value of $580,000 and a fair value of $860,000. Kapono paid $66,000 cash to complete the exchange. The exchange has commercial substance.As we know that gain or loss on an exchange is calculated by comparing the book value and fair value of the assets given up and assets received. If the fair value of assets given up is greater than their book value, then it would result in a gain
. On the other hand, if the book value of assets given up is greater than the fair value, then it would result in a loss.The given problem shows that the book value of farmland given was $580,000, which was less than the fair value of $860,000. Therefore, Kapono would recognize a gain on the exchange.The amount of gain that Kapono would recognize on the exchange can be calculated as follows:Fair value of land given = $860,000Less: Book value of land given = $580,000Gain on exchange = $280,000Therefore, Kapono would recognize a gain on the exchange of $280,000.1.2. Calculation of the initial value of the new land:Explanation:According to the given problem, Kapono Farms exchanged 100 acres of farmland for similar land. The farmland given had a book value of $580,000 and a fair value of $860,000. Kapono paid $66,000 cash to complete the exchange. The exchange has commercial substance.The initial value of the new land can be calculated as follows:Fair value of land received = $860,000Less: Cash paid to complete the haexcnge = $66,000Initial value of the new land = $794,000Therefore, the initial value of the new land is $794,000.
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Joanna borrowed $4,500 today with the understanding that she would repay the loan in two payments: $2,300 in one year and a second payment of $2,500. If interest is 8% monthly, when should the second payment be made? (Answer in the
number of months only as a whole number, i.e. 24 months answer 24)
we find that t is approximately 24.86. Since we need to give the answer in whole months, the second payment should be made in 25 months.
To determine when the second payment should be made, we need to calculate the time it takes for the borrowed amount to grow to $2,300 with an 8% monthly interest rate. We can use the formula for compound interest:
A = P(1 + r)^t
Where:
A = Final amount ($2,300)
P = Principal amount ($4,500)
r = Monthly interest rate (8% or 0.08)
t = Time in months
Substituting the given values into the formula:
2,300 = 4,500(1 + 0.08)^t
Dividing both sides by 4,500:
0.5111 = (1.08)^t
Taking the logarithm of both sides:
log(0.5111) = log(1.08)^t
Using logarithm properties:
t * log(1.08) = log(0.5111)
Dividing both sides by log(1.08):
t = log(0.5111) / log(1.08)
Calculating this using a calculator or software, we find that t is approximately 24.86. Since we need to give the answer in whole months, the second payment should be made in 25 months.
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Employers search résumés for keywords manually and electronically. Please select the best answer from the choices provided T F.
A resume is a formal document created by a job candidate to itemize their skills for a post.
What are the meanings of keywords in job applications?Keywords are words or brief sentences that correspond to work requirements. Hiring managers use keywords to sort through resumes so that they can concentrate on applicants who have the qualifications and experience they seek.
Many businesses also utilize applicant tracking systems (ATS) to discover the most qualified candidates.
Thus the statement is true.
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Answer:
true
Explanation:
Natalie wants to deposit $2,000 into a savings account at a 1.25 percent interest rate. The interest is compounded every six months. How much interest will she earn over two years?
Answer:
Natalie will earn $50.31 in interest over two years assuming that the interest is compounded every 6 months.
Explanation:
Natalie will earn $50.31 in interest over two years, assuming that the interest is compounded every six months.
Here's how to calculate it:
- First, we need to figure out how many times the interest will be compounded over two years. Since the interest is compounded every six months, there will be four compounding periods per year, or a total of eight compounding periods over two years.
- Next, we can use the formula A = P(1 + r/n)^(nt) to calculate the amount of money Natalie will have in her account after two years, where:
- A is the amount of money in the account after two years
- P is the principal (the initial amount of money deposited)
- r is the annual interest rate (1.25%)
- n is the number of times the interest is compounded per year (4, since it's compounded every six months)
- t is the number of years (2)
Plugging in these values, we get:
A = 2000(1 + 0.0125/4)^(4*2)
= 2000(1.00625)^8
= 2100.31
- Finally, we can subtract the initial principal from the final amount to find the amount of interest earned:
Interest = A - P
= 2100.31 - 2000
= 100.31
Rounding to the nearest cent, Natalie will earn $50.31 in interest over two years.
Answer:
$4050.16
Explanation:
using the formula 2000(1+.0125/2)^2(2) to represent the 6 month period (A=P(1+r/n)^nt) you get 4050.15625 which rouned to the nearest tenth is 4050.16 to represent the change
Which researcher is known for studying consumer irrationality and behavioral economics? Mike Brady Steve Jobs Ralph Nader Dan Ariely
Dan Ariely is the researcher known for studying consumer irrationality and behavioral economics.
Dan Ariely has conducted extensive research in the field of behavioral economics, focusing on understanding and explaining why people often make irrational decisions and deviate from traditional economic models.
His work has shed light on the psychological factors that influence consumer behavior and decision-making, challenging the assumption of rationality in economic theory.
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when CEO robert nardell took over home depot in 2000, there was central control. store managers acted independently and costs were higher than competitors like lowes. nardell changed the culture to focus on central control and cutting costs. to control costs, store managers were not allowed to choose products for local customers. employees os their customer-focused attitudes, and customer service suffered. to repair this , the next CEO, frank blake , sought to restore the "orange apron" culture. what does this example best illustrate?
Answer:
corporate culture is chosen by senior management in middle managers and employees have little control over it
Explanation:
I believe this is the answer because based off what it said the employees and managers were not allowed to choose products
The law of demand relates primarily to which of the following?
A
the actions of producers in response to changes in prices
B
the actions of producers in response to changes in production costs
C
the actions of consumers in response to changes in prices
D
the actions of consumers in response to changes in production costs
The law of demand relates primarily to the actions of consumers in response to changes in prices. Thus option (C) is correct.
What is demand?A demand of a product or a commodity is how much a consumer is willing and able to pay for a product at a given time.
The law of demand states the relationship between price and quantity demanded, ceterus paribus. It states that when the price of a product increases its demand decreases, other things remaining constant and vice versa.
The graphical representation of the law of demand is known as demand curve . When the tuition fees of a college falls then the demand for college enrollment will rise.
The law of demand relates primarily to the actions of consumers in response to changes in prices. Therefore, option (C) is correct.
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Which resource management activity identifies and verifies?.
Answer:
different kinds of buisness vary
Explanation:
A currency future is...
a - an exchange rate.
b - an exchange control.
c - a contract.
d - a floating currency.
Answer:
D
Explanation:
Currency futures are a exchange-traded futures contract that specify the price in one currency at which another currency can be bought or sold at a future date. ... Currency futures can be used to hedge other trades or currency risks, or to speculate on price movements in currencies.
Answer:
c
Explanation:
a contract.
Elijah and Aneesha are farmers. Each one owns an 18-acre plot of land. The following table shows the amount of watermelon and zucchini each farmer
can produce per year on a given acre. Each farmer chooses whether to devote all acres to producing watermelon or zucchini or to produce watermelon
on some of the land and zucchini on the rest.
Aneesha can also produce a total of 72,000 lbs of watermelon and 14,400 lbs of zucchini.
What is the total produce?Generally, Watermelon (lbs/acre) | Zucchini (lbs/acre)
------------------------|--------------------
4,500 | 800
If Elijah and Aneesha both choose to grow both watermelon and zucchini, Elijah can produce a total of 72,000 lbs of watermelon (4,500 x 18 acres) and 14,400 lbs of zucchini (800 x 18 acres).
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(10) Acme is considering expanding their remote packaging facility. After-tax cash flows (ATCF) for their primary alternative are presented in the table below. If the general price inflation rate (f) is estimated to be 4.3% per year during the 6-year analysis period, what is the real-dollar ATCF that is equivalent to the actual-dollar ATCF on 4th year? The base time period is year zero (b=0). End of Year ATCF (A$) 0 -380,000 70,000 120,000 120,000 180,000 180,000 180,000 1 2 3 4 (a) 108863 (b) 106761 (c) 260761 (d) 152102
We must account for the general price inflation rate (f) across the analysis period in order to determine the real-dollar after-tax cash flow (ATCF) that is equivalent to the actual-dollar ATCF in the fourth year.
First, let's determine the fourth year's cumulative inflation factor (IF): IF = (1 + f)^4 = (1 + 0.043)^4 = 1.184243 The real-dollar equivalent is then calculated by dividing the actual-dollar ATCF in the fourth year by the cumulative inflation factor: Actual-dollar ATCF / IF = Real-dollar ATCF Real-dollar ATCF equals 180,000 / 1.184243 152,102 As a result, the actual-dollar ATCF in the fourth year is about similar to $152,102 in real dollars. The right response is (d) 152,102.
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Even though the Constitution said nothing about presidents purchasing land,
President Thomas Jefferson purchased the Louisiana territory from France in 1803.
Jefferson felt the power came with the office, and Congress agreed. How did
President Jefferson justify doing this without authority being expressly granted to him
in the Constitution?
O necessary and proper clause
O the commerce clause
O inherent powers clause
O the three-fifths clause
Answer: its A and C and YOUR MUM LOL
Explanation:
The bank pays you _______________ for your money held on deposit. a) investment b) attention c) debit d) interest
which of the following is a guideline that marketers should follow to leverage owned, earned, and paid media? group of answer choices maximize owned media by reaching out beyond their existing websites to create digital touch points plan sales goals based on estimates of public and media relations efforts will translate into earned media don't count on paid media to play an important role in driving customer engagement focus on creating fewer digital touch points for more control over sales.
The guideline that marketers should follow to leverage owned, earned, and paid media is to maximize owned media by reaching out beyond their existing websites to create digital touch points.
This approach allows marketers to expand their online presence and engage with their target audience through various channels. By creating additional digital touch points, such as social media profiles, mobile apps, and email newsletters, marketers can increase their brand visibility, strengthen customer relationships, and drive traffic to their owned media platforms. This strategy provides marketers with more control over their messaging and enables them to cultivate a loyal customer base.
Maximizing owned media by creating digital touch points beyond existing websites is crucial for marketers because it allows them to extend their reach and engage with customers through multiple online platforms. While websites are an essential owned media asset, relying solely on them limits the potential for customer engagement.
By diversifying their digital touch points, marketers can tap into various channels where their target audience is present, such as social media platforms, mobile apps, and email marketing.
Creating additional digital touch points expands the brand's online presence and increases the likelihood of reaching potential customers. It also enables marketers to provide valuable content and experiences across multiple platforms, enhancing brand visibility and customer interactions.
By leveraging owned media in this way, marketers can establish a cohesive and online presence that drives customer engagement and supports their overall marketing goals.
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Are service operations with a high degree of customer contact more or less difficult to control than those with a low degree of customer contact?
Service operations with a high degree of customer contact are generally more difficult to control than those with a low degree of customer contact. This is because customer contact involves a much greater degree of variability and unpredictability.
The customer's expectations, needs, and preferences can vary greatly, making the operation more difficult to plan and manage. Additionally, the customer's interactions with the service personnel can significantly affect the outcome of the service experience, making it more difficult to control. Furthermore, when customers are directly involved in the service process, it often requires a more personalized and customized approach, which can be difficult to control and manage.
Lastly, the human element of customer interaction is difficult to control, as it is difficult to predict how customers will react and behave. Overall, service operations with a high degree of customer contact require a greater degree of flexibility, responsiveness, and customization, making them more difficult to control. Additionally, customer expectations and interactions are difficult to predict and manage, further complicating the control process.
For these reasons, service operations with a high degree of customer contact tend to be more difficult to control than those with a low degree of customer contact.
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What government agency seeks to promote U.S. businesses interests in
foreign markets?
A. ITA
O B. IRS
O C. FTC
O D. FDA
Help asap please
Answer:
Federal Trade Commission
Explanation: