Contributed assets and assumed liabilities are initially recorded at their fair value based on the valuations made at the time the company was formed.
When a partner invests non-cash assets in a partnership, the assets are recorded at the partner's book value.If nothing is indicated,the income of the partnership is divided in proportion to the principal balance of the individual partner.A partner who contributes appreciated assets to a partnership must consider more than the property will be valued for purposes of crediting his capital account and determining his share of the partnership's earnings.For a contribution of property in exchange for a partnership interest that does not involve any gain recognition by the contributing partner,the partnership takes a basis in the contributed property equal to the contributing partner's basis in the property,and the contributing partner takes one base.
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1. If $9.000 is invested at an annual
rate of 11%
continuously compounded,
determine the value
of the investment at the end of 14
years. Round up your reply to the
nearest penny. do not include sign
ofdollar ($) or comma (.) in your
reply. Example:
16288 95
2. Determine the present value of
$80.000 if the
interest is paid at an annual rate of
1.0%
compounddaily for 5 years. Round
up your
reply to the nearest penny. do not
include
sign ofdollar ($) or comma (.) in
your reply. Example:
16288.95
The present value of $80,000 with daily compounding
1. To determine the value of the investment at the end of 14 years with continuous compounding, we can use the formula:
2. To determine the present value of $80,000 with daily compounding at an annual interest rate of 1%, we can use the formula for present value:
A = P * e^(rt)
Where:
A = Final amount
P = Principal amount (initial investment)
e = Euler's number (approximately 2.71828)
r = Annual interest rate (in decimal form)
t = Time in years
Plugging in the values into the formula, we have:
A = $9,000 * e^(0.11 * 14)
A ≈ $9,000 * e^(1.54)
A ≈ $9,000 * 4.678007092
A ≈ $42,102.06 (rounded to the nearest penny)
Therefore, the value of the investment at the end of 14 years, with continuous compounding at an annual interest rate of 11%, is approximately $42,102.06.
2. To determine the present value of $80,000 with daily compounding at an annual interest rate of 1%, we can use the formula for present value:
P = A / (1 + r/n)^(nt)
Where:
P = Present value
A = Final amount (in this case, $80,000)
r = Annual interest rate (in decimal form)
n = Number of compounding periods per year (365 for daily compounding)
t = Time in years
Plugging in the values into the formula, we have:
P = $80,000 / (1 + 0.01/365)^(365*5)
P = $80,000 / (1 + 0.000027397)^(1825)
P ≈ $80,000 / 1.0150324
P ≈ $78,918.37
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In order for a sales team to achieve full potential, modern day sales organizations assign specialized roles to increase efficiency and productivity of their sales teams. For example, ________________________ are farmers, with the sole responsibility of increasing customer loyalty and retention through additional services so that customers continue to use and expand a firm's product and service offerings. ____________ are hunters who are responsible for finding new clients.
Answer:
Customer success or client Development Reps; Sales Development Reps.
Explanation:
Marketing mix can be defined as the choices about product attributes, pricing, distribution, and communication strategy that a company blends and offer its targeted markets (customers) so as to build and maintain a desired response.
Generally, a marketing mix is made up of the four (4) Ps;
1. Products: this is typically the goods and services that gives satisfaction to the customer's needs and wants. They are either tangible or intangible items.
2. Price: this represents the amount of money a customer buying goods and services are willing to pay for it.
3. Place: this represents the areas of distribution of these goods and services for easier access by the potential customers.
4. Promotions: for a good sales record or in order to increase the number of people buying a product and taking services, it is very important to have a good marketing communication such as advertising, sales promotion, direct marketing etc.
In order for a sales team to achieve full potential, modern day sales organizations assign specialized roles to increase efficiency and productivity of their sales teams. For example, Customer success or client Development Reps are farmers, with the sole responsibility of increasing customer loyalty and retention through additional services so that customers continue to use and expand a firm's product and service offerings. Sales Development Reps are hunters who are responsible for finding new clients.
Which one of the following is not considered a scarce resource? *
Capital Resources
Human Resources
Natural Resources
Intellectual Property Resources
Answer:
Intellectual Property Resources
Explanation:
Scarce resource refers to a type of reserouces that has limited amount.
Intellectual property resources are generated from a person's mind. It counted the economic value of ideas, innovation, design, or creativity that people have. Since all people can generate these things without any limit, we don't consider Intellectual property as a Scarce resource.
What other considerations do manufacturers have when deciding on the dimensions of the cans, besides minimizing the amount of material used
Answer:
Imagine that you are an engineer for a soda company, and you are tasked with finding the most economical shape for its aluminum cans. You are given a set of constraints: the can ust hold a volume V of liquid and be a cylindrical shape of height h and radius r, and you need to minimize the cost of the metal required to make the can.
(a) First, ignore any waste material that is discarded during the manufacturing process and just minimuze the total surface area for a given volume V. Using this constraint, show that the optimal dimensions are achieved when h = 2t.
(b) Next, take the manufacturing process into account. Materials for the cans are fut from flat sheets of metal. The cylindrical sides ar made form curved rectangles, and rectangles can be cut from sheets of metal with virtually no waste. However, when the disks of the top and bottom of the can are cut from flat sheets of metal, there is significant waste material. Assume that the disks are cut from squares with side lengths of 2r, so that one disk is cut out of each square in a grid. Show that in this case the amount of material is minimized when: h÷r = 8÷π ≈2.55 .
(c) It is far more efficient to cut the disks from a tiling of hexagons than from a tiling of squares, as the former leaves far less waste material. Show that if the disks for the lids and bases of the cans are cut from a tiling of hexagons, the optimal ratio is h ÷ r = 4√3 ÷ π ≈ 2.21 . Hint: The formula for the area of a hexagon circumscribing a circle of radius r is A = 6r ^2 ÷ √3.
(d) Look at a variety of aluminum cans of different sizes from the supermarket. Which models from problems a-c best approximate the shapes of the cans? Are the cans actually perfect cylinders? Are there other assumptions about the maufacture of the cans that we should take into account? Do a little bit of research, and write a response to answer some of these questions by comparing our models to the actual dimensions used.
Explanation:
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a mortgage company is advertising a 30 year fixed rate mortgage with monthly payments and an apr of 3.0%. what is the effective annual interest rate of this loan?
The effective annual interest rate of this loan is calculated to be 3.04%
The effective annual interest rate can be determined by the following formula;
effective annual interest rate = [( 1 + i/n)^n] - 1
Here i represents the nominal rate and n represents the number of compounding periods and the ratio i/n represents the monthly interest rate
We can calculate the monthly interest rate as follows;
monthly interest rate = 0.03 / 12
monthly interest rate = 0.0025
Now the effective annual interest rate can be calculated as follows;
effective annual interest rate = [( 1 + 0.0025 )^12] - 1
effective annual interest rate = [(1.0025)^12] - 1
effective annual interest rate = 0.0304
Converting it into percentage;
effective annual interest rate = 0.0304 × 100 = 3.04%
Therefore, the effective annual interest rate of this loan is 3.04% if the APR for the loan is 3%
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APR, a rate advertised by ___ is typically ___ than APY
A) lenders; higher
B) borrowers; higher
C) borrowers; lower
D) lenders; lower
answer: D
APR, a rate advertised by lenders is typically lower than APY. The correct answer is D.
What is APR?APR is an acronym for annual percentage rate, it is considered as a cost of borrowing money which is calculated on a percentage that any individual pay each year on their loan. It does not only include the rate of interest but also the fees you must pay to obtain the loan.
APY is an acronym for annual percentage yield, which is considered the actual rate of return on the investment after considering the effect of investment returns.
APR is a rate advertised by lenders that is typically lower than APY as the cost of overall borrowing is lower, and the accounts of APR are also lower. If the difference between APR and APY is higher, the frequency with which interest compounds also increases.
Therefore, option D lenders and lower is the appropriate answer.
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the approval of the surviving corporation's shareholders is not required if the merger or share exchange increases the number of voting shares of the surviving corporation by 20 percent or less.
If the increase in voting shares is 20 percent or less, the surviving corporation's shareholders do not need to approve the merger or share exchange.
In a merger or share exchange, the approval of the surviving corporation's shareholders is not required if the increase in the number of voting shares of the surviving corporation is 20 percent or less.
To understand this, let's break it down:
1. Merger or share exchange: A merger occurs when two companies combine to form a single entity, while a share exchange involves the transfer of shares between two companies.
2. Surviving corporation: This refers to the company that remains after the merger or share exchange.
3. Shareholders' approval: Typically, shareholders need to approve major decisions like mergers or share exchanges. However, if the increase in the number of voting shares of the surviving corporation is 20 percent or less, their approval is not required.
For example, let's say Company A and Company B merge. Company A has 100 voting shares, and Company B has 50 voting shares. If the merger results in the surviving corporation having 150 voting shares or less (20 percent increase or less), the approval of the surviving corporation's shareholders is not needed.
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In a merger or share exchange, the approval of the surviving corporation's shareholders may not be required if the increase in the number of voting shares of the surviving corporation is 20 percent or less. This means that if the merger or share exchange results in a relatively small increase in the voting shares of the surviving corporation, the shareholders of the surviving corporation may not need to provide their approval.
To explain this step-by-step, let's consider an example. Imagine a company, Company A, is merging with another company, Company B. Company A is the surviving corporation. If the merger increases the number of voting shares of Company A by 20 percent or less, the shareholders of Company A do not need to approve the merger.
For instance, if Company A initially has 100 voting shares and Company B has 10 voting shares, the total number of voting shares would be 110 after the merger. If the 10 shares from Company B represent less than 20 percent of the total voting shares of Company A, then the approval of Company A's shareholders is not required.
In conclusion, the approval of the surviving corporation's shareholders is not needed if the merger or share exchange results in an increase of the voting shares by 20 percent or less. This allows for a streamlined process in cases where the increase is relatively small.
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Prompt What is an economy?
Answer:
An economy is the large set of inter-related production and consumption activities that aid in determining how scarce resources are allocated.
When service performance is within the zone of tolerance customers are likely to be?
Adequate service is not as good as desired service, and the separation between the two is the zone of tolerance
What is Zone of Tolerance in service?Customers' expectations of the type of service they want and the bare minimum of service that is acceptable make up the zone of tolerance. The desired service is the higher level of their expectation, while the acceptable service can be thought of as the lower level of what they anticipate to obtain.The range of service performance that a customer deems acceptable is known as the zone of tolerance. Customer annoyance and reduced loyalty will result from performance below the tolerance zone. Customers will be pleasantly surprised and will be more loyal as a result of performance levels exceeding the tolerance zone.Customers may accept variance within a range of performance, and any increase in performance within this range will only have a minimal impact on the zone of tolerance's relevance.
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segal specsavers is a fast-developing architecture firm that wants to hire more employees. it is specifically looking for a department to take care of creating its company website and making sure it is optimized for search engines. what types of professionals is segal specsavers looking to hire?
Segal Specsavers is looking to hire web designers. For their websites to be visually appealing, web designers must possess a broad range of fundamental abilities.
It is necessary for web designers to develop user personas, plan pages and content using site maps, and identify user flows—the routes that people take on your website.
A website or web page's layout and design are the work of a web designer. In addition, it describes creating a new website or modifying an existing one.
You have control over both the big choices—like the menus that are displayed on the website—and the small details—like the right font, color, and pictures. A web designer crafts the layout and characteristics of the project.
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1.
There are three main credit reporting bureaus -- Equifax, Experian, and TransUnion. How
frequently can you request and receive a free credit report from each bureau?
Every Credit user is entitled to a free credit report every 12 months (1 years) from either of Equifax, Experian, or TransUnion.
What are credit reporting agency?These are agency that maintains only an historical credit information on individuals and businesses.
The maintained historical credit information helps in preparation of the credit report and score of all individuals and businesses in United states..
In U.S., the three main credit reporting bureaus includes the Equifax, Experian and TransUnion.
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El Niro Inc. is automating processes so the company can meet its demand with a smaller workforce. The CEO asks Megan, the vice president of human resources, for advice on how to address the resulting labor surplus. Megan studies the workforce and observes that many employees are in their 50s and 60s. Furthermore, these employees are the highest-paid workers in every job category. Based on this information, what should Megan suggest as the most effective way of addressing El Niro's labor surplus?
Answer:
Since the highest paid employees are over age 40, they cannot be simply fired since that would represent age discrimination at work, which is strictly prohibited by the Age Discrimination in Employment Act (ADEA).
But Megan can offer different type of early retirement incentives to these employees so that they retire by their own will, e.g. pay them 1 or 2 weeks salary for every year that they worked for the company, age credits so that the employees can benefit from a pension plan, etc.
Question 14(1 point) Where does a lanyard hook to a full body harness in a fall protection system?
Answer:
it connects to the body belt.
Explanation:
The combination of the purchase price of a good and additional costs incurred before or after product delivery can be referred to as:
In conclusion, TCO is a comprehensive measure that considers both the purchase price and the additional costs associated with a product throughout its lifecycle. It helps individuals and businesses make informed decisions by providing a more realistic picture of the overall financial impact of their purchases.
The combination of the purchase price of a good and additional costs incurred before or after product delivery can be referred to as the total cost of ownership (TCO). TCO takes into account not only the initial price of the product but also any expenses associated with its acquisition, operation, maintenance, and disposal over its entire lifespan.
For example, let's say you're considering purchasing a car. The purchase price of the car itself is one component of TCO, but you should also consider additional costs such as insurance, fuel, maintenance, repairs, and depreciation. These additional costs, when combined with the purchase price, give you a more accurate understanding of the total cost of owning and using the car over time.
In conclusion, TCO is a comprehensive measure that considers both the purchase price and the additional costs associated with a product throughout its lifecycle. It helps individuals and businesses make informed decisions by providing a more realistic picture of the overall financial impact of their purchases.
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What would you predict about the demand elasticities for these two types of consumers?
B. Addicts will have more inelastic demand; their level of consumption will be less responsive to price changes.
For example, when there is a relationship between changes in quantity demanded and the price of a good or service, the elasticity is called the price elasticity of demand. There are two other main types of elasticity of demand. That is, the income elasticity of demand and the cross elasticity of demand.
The question is incomplete. Please read below to find the missing content.
Question: Suppose that the market for crack cocaine consists of two types of users, addicts, and casual users. Casual users only use the drug occasionally, whereas addicts go to much greater lengths to make sure they have some of it readily available whenever they feel the need to consume it.
What would you predict about the demand elasticities for these two types of consumers?
A. Addicts and casual users are both likely to have very elastic demand.
B. Addicts and casual users are both likely to have very inelastic demand.
C. Casual users will have more elastic demand; their level of consumption will be less responsive to price changes.
D. Addicts will have more inelastic demand; their level of consumption will be less responsive to price changes.
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Is Relative value when two absolute values are compared one to another?
Relative value is the opposite of absolute value. while absolute cost examines the cost of an asset or organisation with out evaluating it to any others, relative fee is primarily based on the value of similar assets or businesses.
Relative value is a technique of determining an asset's worth that takes into account the value of similar belongings. that is in contrast with absolute price, which seems most effective at an asset's intrinsic value and does not evaluate it to other assets. Absolute change refers to the easy difference inside the indicator over two intervals in time, i.e. Relative change expresses the absolute exchange as a percentage of the price of the indicator in the earlier length. A relative maximum or minimum happens at turning factors at the curve wherein because the absolute minimal and most are the proper values over the entire area of the function. In different words the absolute minimum and most are bounded by means of the area of the function.
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• To whom does the FCPA apply?
The FCPA applies to the following persons or organizations in the United States and around the world.
1. Domestic concerns- The FCPA applies to every U.S. citizen and permanent resident. It also applies to any company that has its headquarters in the United States or conducts some of its business there.
2. Companies listed on US securities exchanges- The FCPA applies to any foreign company that is publicly traded on US exchanges or that files periodic reports with the Securities and Exchange Commission (SEC).
3. International concerns- any corporation or person who acts as an agent, employee, officer, director, or shareholder of a domestic concern may be held liable for Foreign Corrupt Practices Act (FCPA) violations that occur outside of the United States. The Foreign Corrupt Practices Act is a law that regulates bribery of foreign officials by US companies and citizens. Its main purpose is to prevent corruption in international business transactions.
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Who is 13 and a girl
Answer:
there is 12,548,067 13 year old female children in the U.S that is 17% per a 2019 survey
alternative sources of start-up funding available to young South African entrepreneurs
The sources of capital that are available to the young entrepreneurs in South Africa would be:
grantsIDF CapitalFinance agenciesLulalend Business Funding.What is meant by finance capital?This is the term that is used to refer to the money that a person would need in order to be able to start a business. It is the money that is needed to get things in an operational form.
The lack of capital is one of the issues that face the growth of the entrepreneurial business world in South Africa as a lot of people do not have the money with which to build on.
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Warner Company’s year-end unadjusted trial balance shows accounts receivable of $116,000, allowance for doubtful accounts of $770 (credit), and sales of $450,000. Uncollectibles are estimated to be 1% of sales. Prepare the December 31 year-end adjusting entry for uncollectibles
On December 31, Warner Company must make an adjusting entry to account for uncollectibles.
Prepare the December 31 year-end adjusting entry for uncollectibles?Debit Allowance for Doubtful Accounts for $4,500Credit Accounts Receivable for $4,500On December 31, Warner Company must make an adjusting entry to account for uncollectibles.Uncollectibles are estimated to be 1% of sales, or $4,500 ($450,000 x 0.01). The adjusting entry would be to debit Uncollectible Accounts Expense for $4,500 and credit Allowance for Doubtful Accounts for $4,500.This will increase Uncollectible Accounts Expense and reduce Allowance for Doubtful Accounts, thus decreasing Accounts Receivable by the same amount.After making this adjusting entry, the Accounts Receivable balance would be $111,500 ($116,000 - $4,500), the Allowance for Doubtful Accounts balance would be $4,270 ($770 + $4,500), and the Uncollectible Accounts Expense balance would be $4,500.To learn more about Debit Allowance for Doubtful Accounts refer to:
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the owners of abc, inc. may expect to be paid a share of the profits of the company. these payments to owners are called: a. dividends. b. llong-term debt. c. return on investment. d. current expenses.
a. dividends, Dividends are payments made to the owners of a company, usually in the form of cash or stock, as a share of the profits earned by the company.
Long-term debt refers to money borrowed by a company that is paid back over a long period of time, while return on investment is a measure of the profitability of an investment. Current expenses refer to the ongoing expenses incurred by a company in its daily operations.
Dividends are payments provided to shareholders by a firm, typically in the form of cash or new shares. These payments represent a portion of the company's profits, distributed among the owners as a return on their investment.
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The monopolist produces an output that is __________ the perfectly competitive industry would produce.
Answer:
charge more than a firm in a competitive market. to to Monopoly Production:
if gdp was $10 billion in 2016 and $11 billion in 2017 and the population grew 5etween 2016 and 2017, the growth rate of gdp per capita between 2016 and 2017 was:
The growth rate of GDP per capita between 2016 and 2017 was approximately 9.09%. we can conclude that the approximate growth rate of GDP per capita is 9.09%.
To calculate the growth rate of GDP per capita, we need to divide the change in GDP by the change in population. The change in GDP is $11 billion - $10 billion = $1 billion. Let's assume the population growth rate is x%. Therefore, the change in population is (1 + x/100) * population in 2016 - population in 2016 = (1 + x/100) * population in 2016 - population in 2016 = x/100 * population in 2016. Given that the population grew 5% between 2016 and 2017, x = 5. Plugging these values into the formula, we have (1 billion) / (5/100 * population in 2016) = 20 billion / population in 2016. Since we don't have the exact population figures, we cannot determine the exact growth rate. However, we can conclude that the approximate growth rate of GDP per capita is 9.09%.
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River Corp's total assets at the end of last year were $320,000 and its net income was $32,750. What was its return on total assets
Based on the total assets and the net income earned, the return on total assets was 10.23%.
What was the return on total assets?This can be found by the formula:
= Net income / Total assets x 100%
Solving gives:
= 32,750 / 320,000 x 100%
= 10.23%
In conclusion, the return was 10.23%.
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When Grand Metropolitan, a British company, purchased U.S.-based Pillsbury Co. in order to expand its product line and the market for its existing consumer products, it was an example of a(n):
Companies do invest in foreign firms for profits. It was an example of a Foreign direct investments.
Foreign direct investments (FDI) are commonly referred to as substantial investments that company do engage into a foreign way.
It is known to be a stage of cross-border investment where investor resident in one economy set up a long interest in and a good extent of influence over an enterprise resident in another economy.
It often help the economic problems of developing countries and also boast forward internal policy reforms.
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Brand _____, like that enjoyed by Coca-Cola or Adidas, results from favorable consumer experience with a product and the consumer decision to buy the brand name over the generic.
Answer: equity
Explanation:
Eric and Chris run a non-regulated natural monopoly producing electricity for a small town. The barrier most likely preventing other firms from competing with her is
Answer:
increasing returns to scale
Explanation:
The biggest barrier for other firms are increasing returns to scale. This is because Eric and Chris have their company already established and also have their clientele all hooked up and using their service. This allows them to produce a much higher electrical output for their clients with a certain Income. Newer companies will need a much higher income just to be able to produce a similar electrical output in order to try and compete with Eric and Chris.
Directions:
Select a product or service to sell.
Now determine the target market for your product or service by answering the following questions in a table:
Are your target customers male or female?
How old are they?
Where do they live? Is geography a limiting factor for any reason?
What do they do for a living?
How much money do they make? This is important if you are selling expensive or luxury items.
What other aspects of their lives matter? For example, do they need to be homeowners?
Now, identify your product or service and explain what your target market is and why.
Answer:
1. I intend to sell the luxury car brand, Lamborghini.
2. My main target customers are males.
3. The age range of my target customers is 25 - 45.
4. They live in the cities and urban areas. Geography is a limiting factor because the larger percentage of the males who will patronize the brand have occupations in the cities.
5. They are most likely in the entertainment industry. They could also be top directors in the professional fields.
6. They make $50,000 and above monthly.
7. They are interested in glamor, have high tastes, and associate with the elites in society. They would be financially strong and should have established assets like homes where such expensive cars can be parked.
Explanation:
I intend to sell a luxurious car brand to a target market consisting mostly of males. Most males in the entertainment industry love expensive car brands and are most times competing with themselves on who has the better and latest car. Their age range is 25 to 45-year-old for this group are still in their prime where flashy and expensive things still appeal to them. They would likely reside in the cities where there are good roads for these vehicles and where they can relate with others in the same class.
Identification of a target market is important for it helps the seller to remain focused and not to hit amiss. Time and energy will be thus saved.
Why do software product managers have to be generalists with a range of skills rather than simply technical specialists
Software product managers need to be generalists with a range of skills rather than simply technical specialists because it allows them to effectively bridge the gap between the technical aspects of software development and the business objectives of the organization.
Why is it important for software product managers to have a range of skills?Having a range of skills enables software product managers to:
Understand the big picture: By having knowledge beyond just technical aspects, product managers can grasp the business goals, customer needs, market trends, and competitive landscape. This understanding helps them make informed decisions and prioritize features that align with the overall strategy.
Communicate effectively: Product managers need to collaborate with various stakeholders, including developers, designers, marketers, and executives. Being a generalist allows them to speak the language of different teams and facilitate communication between them, ensuring a shared understanding of objectives and requirements.
Balance trade-offs: Developing software involves making trade-offs between technical feasibility, user experience, time-to-market, and cost. A generalist product manager can weigh these factors and make decisions that strike the right balance for the product and the business.
Adapt to change: The software industry evolves rapidly, with new technologies and market dynamics emerging frequently. Generalists can quickly learn and adapt to new trends, technologies, and methodologies, ensuring the product stays relevant and competitive.
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Fictoria has recently become a republic. Which of these items indicates that Fictoria will follow a fixed exchange rate system?
A.
The system will encourage speculators.
B.
The currency price is set by the free market based on supply and demand.
C.
The government entirely determines the rate.
D.
The system will keep away risk-averse foreign investors.
E.
The system will automatically solve all balance of payment problems.
Answer:
The correct answer is A. The system will encourage speculators.
Explanation:
The fixed exchange rate monetary system is one by which a country sets the value of its currency to the value of another foreign currency, usually from economically stable countries, or to another stable value in the long term, such as the price of gold oil or other raw materials.
In this way, these countries guarantee the stability of their currency, at the cost of losing the ability to lose the possibility of developing an independent monetary policy. In addition, these types of policies tend to encourage economic speculation, which invests in overvalued currencies obtaining higher profits.