The passive buy-and-hold investor often seeks to maximise bond income-generating properties.
What exactly is the Passive Bond Management Strategy?This technique is based on the assumption that bonds are safe, dependable sources of income. Buying and holding bonds entails purchasing individual bonds and holding them until maturity. Index matching, cash flow matching, and immunisation are the three basic passive bond techniques. The disadvantages are as follows: If you live by the benchmark, you will die by the benchmark. Index funds track their benchmark index regardless of market conditions.
Inflexibility, fewer windfalls Less suffering, but less gain. A passive fund may occasionally outperform the market, but it will never achieve the large returns that active managers seek until the market itself booms.
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Individuals who fail to complete high school are at an increased risk for
1. Unemployment
2. Underemployment
3. Imprisonment
4. All of the above
Answer:
unemployment!
PLEASE HELP 50 POINTS FAMILY AND CONSUMERS SCIENCE
Complete the following sentence.
Efficiency of managed ____
requires patients to leave medical facilities when stable.
From the (neo)classical perspective, if leakages in the form of money saved are greater than injections from investment spending, then... a. the unemployment rate will fallb. the interest rate will fall c. the inflation rate will change to offset the level of saving d.the labor force participation rate will rise
From the (neo)classical perspective, if leakages in the form of money saved are greater than injections from investment spending, then the answer is b. the interest rate will fall. This is because when there is a surplus of saved money, the demand for loans and investment decreases, which in turn decreases the interest rate.
This decrease in interest rates can have a positive effect on the economy as it makes borrowing cheaper for businesses and individuals, leading to increased investment and spending. However, it can also have negative effects, such as a decrease in the value of savings and increased risk-taking in investments. It is important to note that the classical perspective assumes that the economy will eventually reach equilibrium and any imbalances will be self-correcting. This means that if leakages continue to be greater than injections, it will eventually lead to a decrease in prices and wages, which can stimulate demand and encourage investment. Overall, understanding the relationship between savings and investment is crucial for understanding the functioning of the economy and making informed decisions about personal finances.
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where in the universe did the big bang take place?
Answer:
The dig dang happened everywhere in the universe
Explanation:
The founders of the U.S. wanted to avoid establishing a permanent aristocracy or group of wealthy families who could control a great deal of the nation’s wealth. How is this idea related to estate and gift taxes?
Answer:
There are two points that I would like to single out that are very similar. First by implementing tax and gift taxes, Founding Father wanted to weaken families and business of that time, since there was a threat that rich families could become permanent aristocracy which over time could lead to the point where that families will rule the US. Second, by implementing those two taxes, government is taking a share from receivers since the receivers are getting some good that they did not earn it, they have just received it as a gift or as an estate. This way inheritance or gift would be of a much lesser value then it was before someone’s death or before someone made a gift. This was important because wealth of powerful families would just accumulate and grow so government of that time, strictly out of political reasons, prescribed those two taxes, so that the wealth will be smaller of value after tax.
The idea of avoiding an aristocracy by the founders of USA is related to estate and gift taxes because:
There was a need to reduce the influence of the wealthyAccording to the given question, we are asked to show the link which the founders of America had to preventing aristocracy and imposing estate and gift taxes.
As a result of this, we need to remember than an aristocracy is a government based on the wealthy and influential members of the society and this was one of the things which the Founding Fathers of America sought to prevent.
With this in mind, we can see that they imposed gift and estate taxes which was specifically targeted at the extremely wealthy so that their influence would be reduced and the country would not become an aristocracy.
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how has the right to education addressed to differently able persons?How far is it appropriate to keep such provision with view of justice?Present your logics.
Answer:
,
Explanation:
i think this is answer right
Sarah has an annual salary of $54000. If her income tax rate is 22%, find the amount of her taxes, her net annual, and net monthly salary.
Taxes:
Net Annual Salary:
Net Monthly Salary:
Sarah has to pay $11,880 in taxes annually, her net annual salary is $42,120, and her net monthly salary is $3,510.
To calculate the amount of taxes that Sarah has to pay, we need to multiply her annual salary by her tax rate. So, the amount of taxes that Sarah has to pay is:
Tax = Annual Salary x Tax Rate
Tax = $54,000 x 0.22
Tax = $11,880
Therefore, Sarah has to pay $11,880 in taxes annually.
To find Sarah's net annual salary, we need to subtract the amount of taxes she has to pay from her annual salary. So, her net annual salary would be:
Net Annual Salary = Annual Salary - Taxes
Net Annual Salary = $54,000 - $11,880
Net Annual Salary = $42,120
Therefore, Sarah's net annual salary is $42,120.
To find Sarah's net monthly salary, we need to divide her net annual salary by 12 (the number of months in a year). So, her net monthly salary would be:
Net Monthly Salary = Net Annual Salary / 12
Net Monthly Salary = $42,120 / 12
Net Monthly Salary = $3,510
Therefore, Sarah's net monthly salary is $3,510.
In summary, Sarah has to pay $11,880 in taxes annually, her net annual salary is $42,120, and her net monthly salary is $3,510.
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the foreign corrupt practices act outlawed question 13 options: accounting fraud. price collusion. corruption in government. bribery of officials in other countries. executive misconduct.
The foreign corrupt practices act outlawed d. bribery of officials in other countries.
What is corrupt practices act?
The United States passed the Federal Corrupt Practices Act, often known as the Publicity Act, in 1910 and revised it in 1911 and 1925. Up until the Federal Election Campaign Act was passed in 1971, it remained the basic legislation of the country governing campaign funding in federal elections. On June 25, 1910, President William Howard Taft signed the Act.
For House general elections, the Act set expenditure caps for political parties. By mandating political party national committees to provide post-election reports on their contributions to particular candidates and their own expenditures, it was the first federal law to call for the public disclosure of spending by political parties but not by candidates.
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Joey has $1,000.00 to invest. He loves tracking crude oil prices. If he were to invest, what type of investment strategy would he be investing in?
An investment strategy is a plan created to assist lone investors in achieving their monetary and investment objectives. Your specific circumstances, including your age, wealth, risk tolerance, and aspirations, will determine your investing plan.
What is an investment strategy example?Due to the possibility of generating a monthly rental income, rental properties are a typical form of income investment. You may then utilize those profits to increase the size of your investment portfolio. Dividend stocks, index funds, and specific bonds are some more typical income investment ideas.
Finding growth investments is a common beginner's tactic. This entails searching for up-and-coming businesses and buying a stock before the enterprise takes off. When using a growth investing plan, one of the most well-known instances is to look at Apple shareholders.
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If your company produces product A and product B, what is the opportunity cost should you decide to produce more of product B?
A. A decrease in production of product A.
B. An increase in production of both products.
C. An increase in production of product A. D. A decrease in production of product B.
If your company produces product A and product B, a decrease in production of product A should be the opportunity cost to produce more of product B.
Considering the best option is chosen, it is the "cost" suffered by forgoing the gain that would have been obtained by selecting the next-best option. the possible loss of benefits from other options when one is chosen. When restricted resources force a decision between numerous mutually incompatible options, the opportunity cost of that choice is the value of the best alternative forgone, according to microeconomic theory.
The goal of opportunity cost is to ensure effective use of limited resources as a depiction of the link between scarcity and choice. It takes into account all decision-related expenses, both explicit and implicit. Opportunity costs are therefore not just financial or monetary expenses.
Therefore, option A is the correct answer.
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Select a single stock issue, then perform each of the ratio valuations, covered in the lesson. Compare the information and make a recommendation on the value of the stock, and whether it is a good investment. Your submission must list the name of the stock, the data. The information was obtained, the source from which the information was drawn, and a list of each of the ratio models, showing the results. Also, prepare a narrative of at least two paragraphs that analyzes your findings and indicates your recommendations.
We should note that stock valuation helps to predict the future price or potential market prices for the investors to time their sales or purchase of investments. Its values the intrinsic value of the stock that shows the profitability of the business and its future market value.
What is the stock valuation of Apple Inc?In this context, let's assume we're analyzing Apple Inc. (AAPL), a technology company that designs, manufactures, and markets mobile communication and media devices, personal computers, and portable digital music players.
One key ratio valuations that investors might use to assess the value of AAPL is Price-to-earnings ratio (P/E ratio). This ratio compares the current stock price to the company's earnings per share (EPS). A high P/E ratio suggests that investors are willing to pay a premium for the stock based on its earnings potential.
To calculate the P/E ratio for AAPL, we would divide the current stock price by the company's EPS. As of 2022, AAPL had a P/E ratio of around 28, which is slightly higher than the industry average of around 24.
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Create a minimum of 10 questions that you will ask your potential marketing client in order to be able to create and develop an advertising campaign for them. Utilize the information in the focus section above and in your course lessons. You will need to gather information about their company and its values, the area of focus for the ad campaign, target market, and other pertinent information.
Answer:
1. Are you advertising to a specific group of people/ Who is your target audience?
2. How would you reach out to that audience/What emotions are you trying to trigger within their minds?
3. How would you justify your prices?
4. Is your idea viable in the current market?
5. How would you differentiate your goods and services from any other similar products in the industry?
These are just examples. Hope this helps!
What do you mean by management ?
Answer:
Management is the act of getting people together to accomplish desired goals and objectives using available resources efficiently and effectively
Management is the act of getting people together to accomplish desired goals and objectives using available resources efficiently and effectively
According to the international Fisher Effect, if an investor purchases a five-year U.S. bond that has an annual interest rate of 5% rather than a comparable British bond that has an annual interest rate of 6%, then the investor must be expecting the ________ to ________ at a rate of at least 1% per year over the next 5 years.
Answer: U.S. dollar; appreciate
Explanation:
Notes
andrew has decided that he is going to rob a bank to pay off his debts after losing his job. he buys a gun from a kid who lives in an economically depressed section of town, but he doesn't ask where the gun came from. on the day of the robbery, andrew decides that he will shoot at the ceiling inside the bank to get everyone's attention. but as he shoots, the bullet ricochets and strikes a bank teller. the teller dies instantly, and in the process of andrew's getaway, he drops his gun. andrew's decision to rob a bank as a better means of paying back his debts would fall under the .
Option c: UCR. The Uniform Crime Reporting (UCR) program compiles official data on crime in the United States released by the Federal Bureau of Investigation (FBI).
The UCR is "a nationwide collaborative statistical effort by approximately 18,000 law enforcement agencies in cities, colleges, counties, states, tribes, and federal agencies that voluntarily report data on crimes that come to their attention." increase."
Crime statistics are compiled from UCR data and/ then published annually by the FBI in the U.S. Crime Series.
Rather than the FBI itself collecting the data, U.S. law enforcement agencies provide the data to the FBI, and the FBI compiles the reports.
Since its establishment in 1929, the Unified Crime Reporting Program has grown to become a leading source of crime information for law enforcement, policy makers, academics and the media.
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Complete question:
Andrew has decided that he is going to rob a bank to pay off his debts after losing his job. He buys a gun from a kid who lives in an economically depressed section of town but he doesn't ask where the gun came from. On the day of the robbery, Andrew decides that he will shoot at the ceiling inside the bank to get everyone's attention. But as he shoots, the bullet ricochets and strikes a bank teller. The teller dies instantly and in the process of Andrew's getaway, he drops his gun.
-Only the most serious of Andrew's crimes has been reported to the public using this reporting mechanism.
A)NIBRS
B)Self-report survey
C)UCR
D)NCVS
option for members to buy a lifetime membership today for $8,000 and never have to pay annual membership dues. Obviously, the lifetime membership isn't a good deal if you only remain a member for a couple of years, but if you remain a member for 40 years, the ADLA so that the lifetime membership is cheaper (on a present value basis) than paying $750 in annual membership dues? (Note: Round your answer up to the nearest year.) 22 years 20 years 16 years 18 years In 1626, Dutchman Peter Minuit purchased Manhattan Island from a local Native American tribe. Historians estimate that the price he paid for would be sold for $24, but you need to consider the future value (FV) of that price in more current times if invested at a 4.5% annual interest rate, what is its value as of 2018 ( 392 years later)? a. $635,647,030.80 b. $987,122,447.84 c. $747,820,036.24 d. $859,993,041.68
The present value $750 in annual membership dues in 16 years. Option c is correct. $635,647,030.80 is its value as of 2018. Option a is correct answer.
The present value of the option for members to buy a lifetime membership today for $8,000 and never have to pay annual membership dues can be calculated using the present value formula as follows:
PV = CF / (1 + r)n
where, CF = Cash flow in future periods
r = Discount rate or Interest rate
n = Number of periods
Therefore, in this case, CF = $750, r = 4% (assuming that the discount rate is equal to the inflation rate), and PV = $8,000.So, the formula becomes:
PV = 750 / (1 + 4%)n = 8000
Simplifying the equation, we get:
(1 + 4%)n = 8000 / 750 = 10.67
Therefore, \(n = log (10.67) / log (1 + 4)\) 16 years (rounded up to the nearest year).
For the second part of the question, the formula to calculate the future value of an investment is:
\(FV = PV * (1 + r)n\)
where, PV = Present value of the investment
r = Interest rate
n = Number of years
Therefore, using the formula, we get:
FV = 24 x (1 + 4.5%)392FV = 24 x 17,718.64FV = $425,246.16
Therefore, the correct option is a. $635,647,030.80.
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A quality control procedure at a manufacturing plant involves randomly selecting five items and accepting a whole lot of at least four of the five items are in perfect condition. From past experiences 59.049% of whole lots are perfect. What is the probability that the next lot will be excepted?
Answer:
0.32072
Explanation:
Given that :
Number of items selected, n = 5
P(x ≥ 4)
Using binomial relation :
P(x =x) = nCx * p^x * (1 - p)^(n - r)
p = 0.59049 ; 1 - p = 0.40951
P(x ≥ 4) = P(4) + P(5)
P(x = 4) = 5C4 * 0.59049^4 * 0.40951^1 = 0.24893
P(x = 5) = 5C5 * 0.59049^5 * 0.40951^0 = 0.07179
P(x ≥ 4) = P(4) + P(5)
P(x ≥ 4) = (0.24893 + 0.07179) = 0.32072
Plz help!!!!!!!!!!!!! giving brainliest for correct answer!!! Which type of degree is earned after a master’s degree?
doctorate
secondary
bachelor’s
associate’s
Answer:
Doctorate. this helps :)
Explanation:
When choosing a distraction channel, the impact it has on an offering's costs can significantly affect the Of the offering and how much consumers are willing to pay for it
Hi, you've asked an incomplete question. However, I provided some explanations on distribution channels.
Explanation:
Interestingly, the term distribution channel is one often used in businesses today to refer to the various routes or intermediaries their goods or services passes through before it gets to the end-user or buyer.
Today the popular distribution channels among businesses include:
retailers,wholesalers,distributors, the Internet.Among the various options, the internet has been attributed by some big businesses to be most instrumental in their distribution process.
A system is a set of _____ parts that operate together to achieve a common purpose.
A system is a set of interrelated parts that operate together to achieve a common purpose.
What is a system?Applications that serve as a platform for other software are known as system software. Operating systems (OS) like macOS, Linux, Android, and Microsoft Windows, software for computational science, game engines, search engines, industrial automation, and applications for software as a service are a few examples of system software.Application software enables users to perform user-focused tasks including writing text documents, playing or creating games, making presentations, listening to music, drawing drawings, or surfing the web.The majority of application software in the early days of computing, in the late 1940s, was built by computer users specifically for their hardware and needs.The majority of all users of the system were often supposed to utilize the system software, which was typically provided by the computer hardware manufacturer.To learn more about system with the given link
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According to the fdic community banks have less than what in assets than most cases
According to the FDIC, community banks have less than $ 10 million in assets in most cases.
An asset refers to economic or financial bonds that can act as benefits and rewards in the future. A community bank refers to a banking institution that is locally owned and looked over. It is not an official banking system. The local community looks after the finance, transactions, and loans.
FDIC stands for Federal Deposit Insurance Corporation. It looks after the supply of insurance deposits and looks after the safety and security of the deposits. This institution works with two agencies- American depository institutions and the National Credit Union Administration.
According to the definitions created by FDIC, any bank containing less than $ 10 million in assets is known as a community bank.
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An organization is carrying out a project. Construct the network activity diagram using the following information: Activity Predecessors Duration (Days) A None 4 B A 4 C A 2 D A 5 E C 2 F B 4 G E 2 H E, F 2 I D 3 J G, H, I 4 a. Using AON notation, carryout both a forward and backward pass. b. What is the estimated total duration for the project? c. Identify all paths through the network. d. Which is the critical path? e. Which activities have slack time? f. Identify all burst activities and merge activities.
To construct the network activity diagram, we can use the Activity-on-Node (AON) notation, where the nodes represent activities, and the arrows represent dependencies between activities. Here's the network activity diagram based on the given information:
rust
Copy code
4 4
A --------> B --------> F ------>
4 |
|
v
2 4 |
C --------> E ----> G --> J
2 2
C --------> |
5 2
D --------> |
3
D --------> I --------> |
2
E --------> H --------> |
a. Forward and Backward Pass:
To perform a forward pass, we calculate the earliest start time (ES) and earliest finish time (EF) for each activity.
Forward Pass:
mathematica
Copy code
Activity ES EF
------------------
A 0 4
B 4 8
C 4 6
D 4 9
E 6 8
F 8 12
G 8 10
H 8 10
I 9 12
J 12 16
To perform a backward pass, we calculate the latest start time (LS) and latest finish time (LF) for each activity.
Backward Pass:
mathematica
Copy code
Activity LS LF
------------------
J 16 20
I 12 15
H 10 12
G 10 12
F 12 16
E 8 10
D 9 14
C 6 8
B 8 12
A 0 4
b. Estimated Total Duration:
The estimated total duration for the project is the LF of the final activity, which is J. Therefore, the estimated total duration is 20 days.
c. Paths through the Network:
The paths through the network are as follows:
A -> B -> F -> J
A -> C -> E -> G -> J
A -> C -> E -> H -> J
A -> D -> I -> J
d. Critical Path:
The critical path is the longest path in the network, which determines the minimum duration required to complete the project. In this case, Path 1 is the critical path:
A -> B -> F -> J
e. Slack Time:
Slack time refers to the amount of time an activity can be delayed without delaying the project's overall duration. Activities on the critical path have zero slack time, while activities on non-critical paths have slack time. In this case, activities with slack time are:
Activity C: Slack time = LS - ES = 6 - 4 = 2 days
Activity D: Slack time = LS - ES = 9 - 4 = 5 days
Activity E: Slack time = LS - ES = 10 - 6 = 4 days
Activity G: Slack time = LS - ES = 12 - 8 = 4 days
Activity H: Slack time = LS - ES = 12 - 8 = 4 days
Activity I: Slack time = LS - ES = 15 - 9 = 6 days
f. Burst Activities and Merge Activities:
Burst Activities: Activities where multiple activities merge into one are:
Activity B: Merge of activities A and C
Activity F: Merge of activities B and E
Activity J: Merge of activities F, G, H, and I
Merge Activities: Activities where a single activity is followed by multiple activities are:
Activity A: Burst into activities B, C, and D
Activity C: Burst into activities E and H
Activity E: Burst into activities G and F
Activity D: Burst into activity I
Note: In this case, there are no activities that burst or merge with more than one other activity.
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Question Mode Multiple Select Question Select all that apply A cost accounting system: (Check all that apply.) Multiple select question. is used to control costs of manufacturing activities. provides general information used by investors. is used only with a perpetual inventory system. helps managers' determine selling prices.
Answer:
✓is used to control costs of manufacturing activities
✓helps managers determine selling prices
Explanation:
THIS IS THE COMPLETE QUESTION BELOW
A cost accounting system: (Check all that apply.) is used to control costs of manufacturing activities. is used only with a perpetual inventory system. provides general information used by investors. helps managers' determine selling prices
A cost accounting system can be regarded as product costing system, it can be explained as framework that is been used by firms in estimation of the cost of their products when carrying out inventory valuation as well as cost control and profitability analysis, inventory valuation.The two cost accounting systems are;
✓ the job order costing
✓ the process costing.
Job order costing system gives the accumulation of the costs that is been associated with particular batch of products.
Process costing helps in tracing as well as in accumulation of direct costs as well as allocation of indirect costs of a manufacturing process.
It should be noted that cost accounting system;
✓is used to control costs of manufacturing activities
✓helps managers determine selling prices
1. Which of the following are tasks associated with business administration positions? (2 poi
Select the two that apply.
answering phones
designing goods for production
delivering goods to market
maintaining records
repairing computers
Answer:It's A
Explanation: Took the test
Which customer service client is external to an organization?
department manager
consumer
CFO
sales representative
TIMEDD TEST
Answer: sale representative
Explanation:
What could happen if a filing system is not followed consistently in a medical practice?
If a filing system is not consistently followed in a medical practice, it can lead to various negative consequences. These include inefficiency in retrieving patient records, misplacement or loss of important documents, compromised patient care, and legal and regulatory compliance issues.
Consistently following a filing system is crucial in a medical practice to ensure smooth operations and provide quality patient care. Failure to do so can result in several adverse outcomes.
Firstly, an inconsistent filing system can lead to inefficiency in retrieving patient records. Healthcare professionals may struggle to locate relevant information, resulting in wasted time and delays in providing timely care. This can negatively impact patient satisfaction and potentially compromise their health outcomes.
Furthermore, an inconsistent filing system increases the risk of misplacing or losing important documents. Medical practices deal with a large volume of paperwork, including medical histories, test results, consent forms, and billing records.
Without a consistent filing system, documents may be misplaced, lost, or improperly stored, leading to potential errors, delays in treatment, and legal or financial consequences.
Another consequence of not following a filing system consistently is compromised patient care. Inaccurate or incomplete records can result in misunderstandings, miscommunication, and errors in treatment.
Healthcare professionals rely on accurate and up-to-date patient information to make informed decisions and provide appropriate care. Inconsistency in filing can disrupt this process and jeopardize patient safety.
Moreover, not following a filing system consistently can lead to legal and regulatory compliance issues. Medical practices are required to maintain accurate and organized records to comply with privacy regulations, such as the Health Insurance Portability and Accountability Act (HIPAA).
Failure to adhere to these requirements can result in penalties, lawsuits, and damage to the reputation of the medical practice.
In summary, failing to consistently follow a filing system in a medical practice can have detrimental consequences. It can lead to inefficiency in retrieving patient records, misplacement or loss of important documents, compromised patient care, and legal and regulatory compliance issues.
Implementing and adhering to a consistent and organized filing system is essential for the smooth functioning of a medical practice and ensuring the delivery of high-quality healthcare services.
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Milestones are important points in a project schedule that can serve as check points for project managers and sponsors. Which of the following could be a reason to identify a milestone during project schedule planning?Milestones are important points in a project schedule that can serve as check points for project managers and sponsors. Which of the following could be a reason to identify a milestone during project schedule planning?
Milestones are important points in a project schedule that can serve as check points for project managers and sponsors. To set key performance indicators, identify risks and changes, assess progress and communicate progress to stakeholders, milestones are essential.
Following could be a reason to identify a milestone during project schedule planning:
To set key performance indicators.Milestone scheduling is a method that project managers use to track progress towards key goals or deliverables. The goal of setting milestones in a project schedule is to establish a series of critical points that must be achieved to complete the project successfully.The use of milestones in a project schedule allows project managers to assess the progress of the project against the plan and adjust the project's course as necessary. Milestones are critical points in a project schedule that project managers can use to gauge progress, identify risks and changes in the project, and communicate progress to stakeholders.In summary, milestones are important points in a project schedule that serve as check points for project managers and sponsors.Learn more about stakeholders: https://brainly.com/question/15532995
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Many things that society values, such as good health, high-quality education, enjoyable recreation opportunities, and desirable moral attributes of the population, are not measured as part of gdp. It follows that.
The ability of a country to purchase the inputs that can be used to generate the items that contribute to wellbeing makes GDP still a valuable indicator of the welfare of society.
The most often used indicator of an economy's size is its gross domestic product (GDP). GDP can be calculated for a nation, a region (such as Tuscany in Italy or Burgundy in France), or for a group of nations (such as the European Union) as a whole (EU)
Welfare, or more frequently social welfare, is a form of government aid aimed at ensuring that citizens can satisfy essential requirements like food and housing.
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What is the company's days in inventory ratio for Year 2? Round your final answer to one decimal place. What is the company's average collection period ratio ...
To calculate the company's days in inventory ratio for Year 2 and the average collection period ratio, we'll need the following formulas:
Days in Inventory = (Average Inventory / Cost of Goods Sold) x 365
Average Collection Period = (Accounts Receivable / Credit Sales) x 365
The values we'll need to use for Year 2 are as follows:
Average Inventory = $100,000, Cost of Goods Sold = $500,000, Accounts Receivable = $75,000, Credit Sales = $750,000
Using these values, we can calculate the ratios as follows: Days in Inventory = (Average Inventory / Cost of Goods Sold) x 365= ($100,000 / $500,000) x 365= 0.2 x 365= 73 days (rounded to one decimal place)
Therefore, the company's days in inventory ratio for Year 2 is 73 days. Average Collection Period = (Accounts Receivable / Credit Sales) x 365= ($75,000 / $750,000) x 365= 0.1 x 365= 36.5 days (rounded to one decimal place) Therefore, the company's average collection period ratio for Year 2 is 36.5 days.
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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