Because interest rates are low, households don't sacrifice much income in pursuit of income. If interest rates rise, the amount demanded will decrease.
What are low interest rates and their benefits?High interest rates make it expensive to borrow money. Before agreeing to a loan, it's important to make sure you fully understand how the interest rate affects the total amount you owe.
Lower interest rates could allow consumers to spend more money, creating a domino effect of more spending across the economy. Businesses and farmers also benefit from low interest rates, as low borrowing costs encourage large-scale equipment purchases.
What to do in times of low interest rates?Refinance your home loan. Buy a house. Choose a fixed rate mortgage. Buy your second home now. Refinance student loans. Refinance car loan. Consolidate your debt. Pay off or move high interest credit card balances.
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Which of the following statement about trust in businesses and business executives in the early twenty-first century is true?
Option d) "Americans have historic low rates of trust of both businesses and business executives" is the true one.
There have been studies and surveys that indicate a decline in trust in businesses and business leaders in recent years. This can be due to various factors such as financial crises, corporate scandals, and a growing awareness of the negative impact of business practices on society and the environment. Trust in businesses may be affected by the company's reputation, transparency, and how they handle public relations.
Trust in business leaders may depend on the CEO’s leadership style and the company’s performance.
Complete question:
Which of the following statements about trust in businesses and business executives in the early twenty-first century is true?
a) The U.S. population is evenly divided between those who trust businesses and those who do not.
b) Most Americans still believe businesses and business executives are honest and ethical.
c)Most Americans still trust businesses but not the individual executives who run them.
d)Americans have historic low rates of trust of both businesses and business executives.
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Measure the angle in degrees.
Answer:
45°
Explanation:
If you look at it since the is backward due to the angle 180 would represent 0 and the 140 would be 40 so it is between the 140 and 130 marks so it is 45°.
food and shelter are examples of a need.
Determine the missing amount:
Assets=Liabilities+owners Equity x 272000 573000
Based on the given amounts of assets and liabilities, the missing amount of Owner's equity is $301,000
How to find the equity?The Owners equity is one of the parts of the Accounting equation which is:
Assets = Liabilities + Owners Equity
The Assets in this instance is $573,000 and the Liabilities are $272,000.
The Owner's equity is the missing amount and it can be found as:
573,000 = 272,000 + Owners Equity
Owners Equity = 573,000 - 272,000
Owners Equity = $301,000
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Suppose Gilberto is the only seller in the market for bottled water and Charles is the only buyer. The following lists show the value Charles places on a bottle of water and the cost Gilberto incurs to produce each bottle of water:Charles's ValueValue of first bottle:$9Value of second bottle:$7Value of third bottle:$4Value of fourth bottle:$1Gilberto's CostsCost of first bottle:$1Cost of second bottle:$4Cost of third bottle:$7Cost of fourth bottle:$9The following table shows their respective supply and demand schedules:PriceQuantity DemandedQuantity Supplied$1 or less40$1 to $431$4 to $722$7 to $913More than $904Use Gilberto's supply schedule and Charles's demand schedule to find the quantity supplied and quantity demanded at prices of $2, $5, and $8. Enter these values in the following table.
The law of supply and demand joins two key financial standards depicting how changes in the cost of an asset, item, or item influence its market interest.
At a price of $2:
Quantity demanded: Charles is willing to pay up to $7 for the second bottle and up to $4 for the third bottle, so he is willing to buy 2 bottles of water at a price of $2.
Quantity supplied: Gilberto is only willing to supply 1 bottle at a cost of $4, so the quantity supplied at a price of $2 is 1 bottle.
Since the quantity demanded is greater than the quantity supplied, the market price will increase.
At a price of $5:
Quantity demanded: Charles is willing to pay up to $7 for the second bottle, so he is willing to buy 1 bottle of water at a price of $5.
Quantity supplied: Gilberto is willing to supply 2 bottles at a cost of $4, so the quantity supplied at a price of $5 is 2 bottles.
The market reaches a state of equilibrium, where the quantity supplied equals the quantity demanded, at a price of $5 and a quantity of 1 bottle.
At a price of $8:
Quantity demanded: Charles is only willing to pay up to $7 for the second bottle, so he will not buy any bottles of water at a price of $8.
Quantity supplied: Gilberto is willing to supply 3 bottles at a cost of $7, so the quantity supplied at a price of $8 is 3 bottles.
Since the quantity supplied is greater than the quantity demanded, the market price will decrease.
The law of supply and demand is the hypothesis that not set in stone by the connection among organic market. In the event that the stock of a decent or administration overwhelms the interest for it, costs will fall. Assuming interest surpasses supply, costs will rise.
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This activity is important because as world trade has grown, more companies have entered the global market. Once a firm decides to enter the global market, it must choose which means of market entry is the most appropriate. The global market entry strategies vary greatly on the dimensions of financial commitment, risk, marketing control, and profit potential.
The goal of this exercise is to demonstrate your understanding of the different types of global market entry strategies: exporting, licensing, joint venture, and direct investment. Roll over each company name to read the description of the firm's strategy, then drop it onto the correct global market entry strategy within the graphic.
1. Yoplait
2. Moodmatcher lipstick
3. McDonald's
4. Ericsson and CGCT
5. Boeing
6. Nissan
A. Indirect Exporting
B. Direct Exporting
C. Licensing
D. Franchising
E. Joint Venture
F. Direct Investment
Answer:
1. Yoplait ⇒ C. Licensing . Yoplait is the largest yogurt license in the world.
2. Moodmatcher lipstick ⇒ A. Indirect Exporting . It produces their products in the US and then sells them abroad through trading companies.
3. McDonald's ⇒ D. Franchising . McDonald's is one of the largest franchises in the world and it operates in a similar manner everywhere.
4. Ericsson and CGCT ⇒ E. Joint Venture . Ericsson is a Swedish telecommunications company and CGCT is a French company.
5. Boeing ⇒ B. Direct Exporting . Boeing is America's largest exporter. It opened its first overseas facility on December 15, 2018, in response to the trade dispute between China and the US. But the vast majority of its planes are still built int eh US.
6. Nissan ⇒ F. Direct Investment. Nissan is part of a French-Japanese car company that produces its cars on their own plants located around the world.
Majid corporation sells a product for $240 per unit. The products current sales are 41,300 units and its break even sells are 36,757 units. What is the margin of safety in dollars?
Explanation:
I did this all by my self so hope it helps!
The margin of safety in dollars for Majid Corporation's product is $10,90,320.
To calculate the margin of safety in dollars, we need to find the difference between the current sales and the break-even sales, and then multiply it by the selling price per unit.
Break-even sales represent the point at which a company covers all its costs and does not make a profit or incur a loss. Any sales above the break-even point contribute to the margin of safety.
Given information:
Selling Price per Unit = $240
Current Sales = 41,300 units
Break-even Sales = 36,757 units
\(\text{Margin of Safety (in units)} = \text{Current Sales - Break-even Sales}\\\text{Margin of Safety (in units)} = 41,300 - 36,757 \\= 4,543 units\)
\(\text{Margin of Safety (in dollars)} = \text{Margin of Safety (in units)} * \text{Selling Price per Unit}\\\text{Margin of Safety (in dollars)} = 4,543 * \$240 \\= \$10,90,320\)
Therefore, the margin of safety in dollars for Majid Corporation's product is $10,90,320. This indicates the amount by which current sales exceed the break-even point, providing a cushion for the company's profitability.
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Anya recently graduated and has just started a job at a large company. She had to take out many student loans to cover the cost of her tuition expenses, and though she is earning money, she is prioritizing paying off her loans as quickly as possible. The company's end-of-year holiday party is quickly approaching and Anya has nothing appropriate to wear. Anya’s friend Mariana provides advice: “Purchase a dress from a large department store a few days prior to the party. Wear the dress to the end-of-year party (without taking the tags off) - but be careful not to spill anything on it. After the party, return the dress to the store and explain to them that it doesn’t fit you. Their return policy will mean they’ll refund your money and it won’t hurt the company as they’ll be able to re-sell the dress.” Anya has heard how important the office party is, and really wants to impress her bosses.
Based on the fact that Anya recently graduated and has just started a job at a large company but cannot afford a dress and is advised to “Purchase a dress from a large department store a few days prior to the party. Wear the dress to the end-of-year party and then return it, saying it was not her size, the appropriate thing to do would be to make installmental payments on the dress.,
What is Ethics?This refers to the moral principles that a person lives by and guides his or her actions and gives him the principle of right or wrong and the choices that have to be taken.
Hence, we can see that based on the morality of the action, this constitutes an immoral act as Anya would be playing "a fast one" on the company, and this is strongly discouraged.
With this in mind, the appropriate thing to do would be to make installmental payments on the dress.,
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Medicare and Social Security are paid through which type of federal tax?
A sales tax
B. excise tax
C. payroll tax
D. corporate income tax
Answer: C. payroll tax
Explanation: got it correct on ed2020
__________ are inputs used by organizations. Group of answer choices Raw materials Trademarks Incentives Contingencies Esprit de corps
Raw materials are inputs used by organizations
What are raw materials?They are some of the inputs used to produce an output or products in an organization.
They are products are required by company ] to generate a profit by selling.
Therefore, Raw materials are inputs used by organizations
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Ethiopia's incomes and expenditures are as follows (in billion bire) in 2009
Wages
at what approach 100
Social security contributions
7
Interest income
5
Personal taxes
20
Consumption expenditure by households
60
Government purchases of goods and services
150
50
Transfer payments
100
Corporate profit
30
Investment expenditures by business
20
Corporate Income taxes
50
Indirect business taxes
Undistributed corporate profit
90
Consumption of fixed capital( depreciation)
40
Non income charges
65
Expenditures by foreigners
25
Net foreign factor income earned domestically
25
a. Using expenditure approach, what is GDP?
The GDP of Ethiopia using the expenditure approach in 2009 was 205 billion bire.
What is Ethiopia's GDP?By adding up all of the expenditures on finished goods and services produced domestically, we may compute the GDP using the expenditure method. The following formula is used to determine GDP when utilizing the spending method:
GDP = C + I + G + (X - M)
where:
C = Consumption expenditure by households
I = Investment expenditures by business
G = Government purchases of goods and services
X = Expenditures by foreigners on domestically produced goods and services
M = Expenditures by domestic residents on foreign-produced goods and services
Using the given values for Ethiopia's incomes and expenditures in 2009, we can further input the values to calculate the GDP as;
GDP = C + I + G + (X - M)
= 60 + 20 + 150 + (25 - 25)
= 205 billion bire
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If you want to give a vendor an incentive to complete work early which type of contract would you use?
Answer:
A fixed price incentive is a type of price that is set based on a reward that will be given only in the case the good or service traded results to be better than expected.Explanation:
ILYÂ Suppose you learn that over the next couple of years, dozens of companies that work in product fulfillment are planning on opening new facilities in major cities around the country, that will result in a projected DA Increase of $6 billion. Additionally, you learn that the government plans to lower taxes, resulting in a projected SA Increase of $2 billion placing Assuming there are no other changes to SA or DA, the projected net demand for loanable funds (ND) will be positive promure on interest rates
The expected DA will be higher than the projected SA, pushing interest rates up, assuming no additional adjustments to SASA or DA.
What is DA?A methodical, quantitative, and visually appealing way to addressing and assessing the significant decisions that corporations occasionally have to make is called decision analysis (DA). Acts, events, outcomes, and payoffs are the four fundamental components of decision theory. Acts, events, outcomes, and payoffs are the four fundamental components of decision theory.
What are loanable funds?All money that individuals and organizations have chosen to set aside and lend out rather than spend on personal consumption is referred to as loanable funds. The characteristics of these money are referred to as having credit. The basis for the loanable funds hypothesis is the market's interest rates and the different factors they affect. The area where borrowers can obtain loans from lenders is referred to as the loanable funds market.
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Jimmy has seven times as many dimes as nickels. Their value is $3. 75. How many nickels does he have? 5 35 15.
Answer:5
Explanation:
Which of the following is a determinant of supply? (1 point)
A. the price of a substitute in consumption
B. consumer expectations
C. the price of a substitute in production
D. the price of a complement in consumption
Considering the available options, the determinant of supply is: "consumer expectations."
This is because when a producer knows that the consumers are ready to consume now, the producers will supply more of the products.However, if the consumer expectation shows that they are not going to consume now, then the Producer will supply less of their products.This is based on the idea that the higher the consumer is willing to buy, the more profits for suppliers.Hence, in this case, the correct answer is option B. " consumer expectations."
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Answer:
The price of substitute in production
Explanation:
Just took the test
1. Describe an example from your past where you have been effective in inspiring other
leaders around a common purpose and shared values.
2. How effective are you today at empowering other people to step up and lead? How do
you go about doing this? What are you doing to improve your effectiveness?
3. Recall a situation in which you faced a conflict between empowering other people and
reaching your performance goals.
a. How did you resolve the conflict?
b. Did you give preference to reaching your goals or to your relationship?
c. Would you act differently in the future when facing a conflict between
relationships and performance?
Answer:
One effective way to inspire other leaders around a common purpose and shared values is to lead by example. I demonstrate a commitment to the values and purpose that are important to the team. Furthermore, I consistently take actions that align with those values and purpose. These steps can inspire others to do the same. Additionally, I create opportunities for open and honest communication, collaboration, and shared decision-making. These measures can help build trust and empower other leaders to promote the team's success.Empowering others to step up and lead can involve creating opportunities for skill-building and growth, providing guidance and support, and giving people the autonomy to make decisions and own their work. To improve effectiveness, I seek feedback from others. I also informed about best practices and emerging trends in leadership. Lastly, I continuously work on developing communication, coaching, and mentoring skills.Get instant answers, essays, and research papers through proffrank01 at g m ail.con. This helps you score maximum points without straining too much.
3. When facing a conflict between empowering other people and reaching performance goals, I considered the long-term impact of each decision. I prioritized relationships and empowered others to better outcomes in the long run. This required a short-term sacrifice to reach immediate performance goals. I communicated openly and honestly with the team about the situation and worked collaboratively to find a solution that aligns with both performance goals and relationship-building. In the future, I could reflect on the situation and consider how to approach similar conflicts in a more proactive manner.
Explanation:
Wholemark is an Internet order business that sells one popular New Year greeting card once a year. The cost of the paper on which the card is printed is $0.40 per card, and the cost of printing is $0.10 per card. The company receives $3.75 per card sold. Since the cards have the current year printed on them, unsold cards have no salvage value. Their customers are from the four areas: Los Angeles, Santa Monica, Hollywood, and Pasadena. Based on past data, the number of customers from each of the four regions is normally distributed with mean 2,300 and standard deviation 200. (Assume these four are independent.)
What is the optimal production quantity for the card?
Answer:
≈ 9644 quantity of card
Explanation:
given data:
n = 4 regions/areas
mean demand = 2300
standard deviation = 200
cost of card (c) = $0.5
selling price (p) = $3.75
salvage value of card ( v ) = $ 0
The optimal production quantity for the card can be calculated using this formula below
= u + z (0.8667 ) * б
= 9200 + 1.110926 * 400
≈ 9644 quantity of card
First we have to find u
u = n * mean demand
= 4 * 2300 = 9200
next we find the value of Z
Z = ( \(\frac{p-c}{p-v}\) )
= ( 3.75 - 0.5 ) / 3.75 = 0.8667
Z( 0.8667 ) = 1.110926 ( using excel formula : NORMSINV (0.8667 )
next we find б
б = 200\(\sqrt{n}\) = 400
If Amelia would like to double her money in twelve years, how much interest does she need to earn O 12 percent O 16.6 percent O 6 percent 10 percent
Out of the given answer choices, the interest rate that Amelia needs to earn to double her money in twelve years is 16.6 percent.
To find out how much interest Amelia needs to earn to double her money in twelve years, we need to use the compound interest formula.
This formula is used to determine the future value of an investment based on the principal, the interest rate, the number of compounding periods, and the time involved.
The formula is as follows: FV = PV x (1 + r/n)^(n*t)where FV = future value, PV = present value (the amount of money Amelia currently has), r = annual interest rate, n = number of times the interest is compounded per year, and t = time in years.
To double her money, Amelia needs to have a future value that is twice her present value. Therefore, we can set FV = 2PV and solve for r.
2PV = PV x (1 + r/n)^(n*t)Dividing both sides by PV, we get:2 = (1 + r/n)^(n*t)
Taking the natural logarithm of both sides, we get: ln(2) = ln[(1 + r/n)^(n*t)]
Using the power rule of logarithms, we can simplify the right side of the equation to ln(2) = (n*t) ln(1 + r/n)
Dividing both sides by (n*t), we get:ln(2) / (n*t) = ln(1 + r/n)
Finally, we can solve for r by raising both sides as the power of e: e^(ln(2) / (n*t)) = 1 + r/n
Subtracting 1 from both sides and multiplying by n, we get:r = n x (e^(ln(2) / (n*t)) - 1)
Plugging in the values given, we get:r = n x (e^(ln(2) / (n*12)) - 1)
We don't know the value of n, so we can try each of the answer choices to see which one gives us a value of r that works.
Using a financial calculator or a spreadsheet program like Excel, we can calculate the values of r for each interest rate.
Using 12 percent: r = 1 x (e^(ln(2) / (1*12)) - 1) = 0.0956 or 9.56 percent
Using 16.6 percent: r = 1 x (e^(ln(2) / (1*12)) - 1) = 0.1407 or 14.07 percent
Using 6 percent: r = 1 x (e^(ln(2) / (1*12)) - 1) = 0.0488 or 4.88 percent
Using 10 percent: r = 1 x (e^(ln(2) / (1*12)) - 1) = 0.0794 or 7.94 percent
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Alfred E. Old and Beulah A. Crane, each age 42, married on September 7,2017. Alfred and Beulah will file a joint return for 2019. Alfred's Social Security number is 111-11-1109. Beulah's Social Security number is 123-45-6780, and she adopted "Old" as her married name. They live at 211 Brickstone Drive, Atlanta, GA 30304. Alfred was divorce from Sarah Old in March 2016. Under the divorce agreement, Alfred is to pay Sarah $1,250 per month for the next 10 years or until Sarah's death, whichever occurs first. Alfred pays Sarah $15,000 in 2019. In addition, in January 2019, Alfred pays Sarah $50,000, which is designated as being for her share of the marital property. Also, Alfred is responsible for all prior years' income taxes. Sarah's Social Security number is 123-45-6788. Alfred's salary for 2019 is $150,000. He is an executive working for Cherry.Inc. (Federal I.D. No. 98-7654321). As part of his compensation package, Cherry provides him with group term life insurance equal to twice his annual salary. His employer withheld $24,900 for Federal income taxes and $8,000 for state income taxes. The proper amounts were withheld for FICA taxes. Beulah recently graduated from law school and is employed by Legal Aid Society.Inc. (Federal I.D. No. 11-1111111), as a public defender. She receives salary of $42,000 in 2019. Her employer withheld $7,500 for Federal income taxes and $2,400 for state income taxes. The proper amounts were withheld for FICA taxes. Alfred and Beulah had interest income of $500. They received $1,900 refund on their 2018 state income taxes. They claimed the standard deduction on their 2018 Federal income tax return. Alfred and Beulah pay $4,500 interest and $1,450 property taxes on their personal residence in 2019. Their charitable contributions total $2,400 (all to their church). They paid sales taxes of $1,400, for which they maintain the receipts. Alfred and Beulah have never owned or used any virtual currency, and they do not want to contribute to the Presidential Election Campaign. Compute the Old's net tax payable (or refund due) for 2019. Suggested software: ProConnect Tax Online
To compute the Olds' net tax payable (or refund due) for 2019, we need to gather all the relevant information and calculate their taxable income, apply the appropriate tax rates, deductions, and credits. Since the tax calculation involves various factors and tax laws, it would be best to use tax software such as ProConnect Tax Online or consult with a tax professional. The software will streamline the process and ensure accurate calculations based on the specific tax laws and regulations applicable to the Olds' situation.
Question 5 Shop A charges $275.00 for an oil change and has a gross oil profit percent of 39.1% for its total oil gross profit 96. Shop B charges $275.00 for an oil change and has a gross oil profit percent of 28.4% for its total oil gross profit . Both shops pay $21.25 per gallon of oil. What is the Profit per Lube for Shop B?
To calculate the Profit per Lube for Shop B, we need to determine the total profit made from each oil change and then divide it by the amount of oil used.
First, we need to find the total oil gross profit for Shop B. We know that Shop B charges $275.00 for an oil change and has a gross oil profit percent of 28.4%. This means the gross oil profit is calculated as a percentage of the total price.
Gross oil profit for Shop B = 28.4% of $275.00
= (28.4/100) * $275.00
= $78.10
Next, we need to calculate the amount of oil used for each oil change. We are given that both shops pay $21.25 per gallon of oil.
Amount of oil used for each oil change = $275.00 / $21.25 per gallon
= 12.94 gallons (rounded to two decimal places)
Finally, we can calculate the Profit per Lube for Shop B by dividing the total oil gross profit by the amount of oil used.
Profit per Lube for Shop B = Gross oil profit for Shop B / Amount of oil used
= $78.10 / 12.94 gallons
≈ $6.03 per gallon
Therefore, the Profit per Lube for Shop B is approximately $6.03 per gallon.
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FDI is one way of starting a business in another country. explain the ways enough which it can be done
The ways in which FDI can be done is:
Horizontal FDIVertical FDIConglomerate FDIForeign direct investment(FDI) is an interest in a foreign company or project by an investor, company or government of another country.
In horizontal FDI, the company initiates the same type of economic activity in a foreign country as it does in its own country. An example is a US-based wireless carrier that buys a network of phone shops in China.In vertical foreign direct investment, a company acquires a complementary company in another country . For example, a US manufacturer can buy shares in a foreign company that supplies it with the raw materials it needs.In an FDI conglomerate, a company invests in foreign assets unrelated to its core business. Since the investing company has no prior experience in the foreign company's specialty, this often takes the form of a joint venture.To know more about FDI:
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Many businesses borrow money during periods of increased business activity to finance inventory and accounts receivable. For example, Mattel builds up its inventory to meet the needs of retailers selling to Christmas shoppers. A large portion of Mattel's sales are on credit. As a result, Mattel often collects cash from its sales several months after Christmas. Assume on November 1, 2018, Mattel borrowed $6 million cash from Metropolitan Bank and signed a promissory note that matures in six months. The interest rate was 8.0 percent payable at maturity. The accounting period ends December 31.
Required:
1, 2 & 3. Prepare the required journal entries to record the note on November 1, 2018, interest on the maturity date, April 30, 2019, assuming that interest has not been recorded since December 31, 2018
Answer:
1. Nov 1, 2018
Cash 6,000,000
Notes Payable (short-term) 6,000,000
2. Dec 31, 2018
Interest Expense 80,000
Interest Payable 80,000
3. Apr 30, 2019
Notes payable (short-term) 6,000,000
Interest Payable 80,000
Interest Expense 160,000
Cash 6,240,000
Explanation:
1. $6,000,000 cash Mattel acquired from Metropolitan Bank for signing a short-term note (matures in six months).
2. 6,000,000 x .08 x 2/12 = 80,000
2 months (Nov and Dec) time that Mattel accrued $80,000 worth of interest.
3. The note was signed for 6,000,000.
Interest payable is the amount that was accrued from the last year, but hasn't been paid yet for $80,000.
Interest expense is the interest amount that is from the current year and is being repaid for $160,000.
Cash is the total (the principal payment and the interest) that Mattel is paying the bank back for borrowing for $6,240,000.
The journal entries of the given case are given in the image below.
What is journal entry?Journal entry is the systematic record of the accounting transactions that is commenced under the usual business in cash. It is the financial transactions.
It is also referred to as the primary accounting procedure, means the financial statement is prepared on the basis of journal entry.
Computation of the amount of journal entry:
On November 2018, the amount of $6,000,000 cash Mattel grown from Metropolitan Bank for signing a short-term note that matures in 6 months.
On December 31, 2018, Mattel accrued $80,000 worth of interest, means :
\(= \$6,000,000 \times .08 \times \dfrac{2}{12} \\= \$80,000\)
Then the amount of Cash is the total, means the principal payment and the interest is that Mattel is paying the bank back for borrowing for $6,240,000 ( \(\$6,000,000 + \$80,000 + \$160,000\)).
Therefore, the journal entries of the above transactions are given in the image below.
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Your family purchased new living room furniture on credit at the store, which is a simple interest loan. If your family paid $300.00 in interest on the principal of $1,000.00
over 5 years, what was the rate of the loan?
1.) 6%
2.) 8%
3.) 4%
4.) 2%
three types of investments that you would select for an investment portfolio and explain why you believe they would be beneficial for your financial future.
The three types of investments that you would select for an investment portfolio are:
OwnershipLendingCash equivalents.The reason why they would be beneficial to my financial future is because i will get a lot of profit by investing in them.
What is the Ownership Investments?This is known to be the Equity Investments and it is an Investments in ownership are the riskiest and most lucrative category. An example is investment in Stocks.
Note that Owning stock entails owning a stake in a business and therefore, The three types of investments that you would select for an investment portfolio are:
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What value does a gender analysis add to the study of the global political economy?
Gender analysis provides information that recognizes that gender, and its relationship with race, ethnicity, culture, class, age, disability, and/or other status, is important in understanding the different patterns of involvement, behaviour and activities that women and men have in economic, social and legal.The essay concludes that a gender analysis is fundamental to IPE because it demonstrates the centrality of the differential valorisation of the masculine and the feminine to the functioning of the global political economy, and thus creates opportunities for political activism and resistance.
Match the term with the correct definition.
Question 25 options:
type of reaction that has occurred in a flask when it becomes warmer
components are present in a fixed ratio
the carbon-oxygen bond is an example
type of reaction from rotting tree
tastes bitter
tastes sour
gold is an example
the lithium-bromide bond is an example
type of reaction from forest fire
type of reaction that has occurred in a flask when it becomes colder
compounds are present in an unfixed ratio
1.
ionic bond
2.
covalent bond
3.
exothermic reaction
4.
endothermic reaction
5.
combustion reaction
6.
decomposition reaction
7.
compound
8.
element
9.
mixture
10.
acid
11.
base
Answer:
i wish i knew
Explanation:
sorry
Im sorry but these are the only few I know, or at least think they are correct;-;
Answer:
3.
type of reaction that has occurred in a flask when it becomes warmer: exothermic reaction
8:
gold is an example: Element
10:
tastes sour: acid
2:
the carbon-oxygen bond is an example: covalent bond
4:
type of reaction that has occurred in a flask when it becomes colder: endothermic reaction
Warner Brothers Entertainment owns the rights to the intellectual property of the Scooby Doo cartoon show and its characters. A lunchbox menecturer
has reached an agreement with Warner Brothers Entertainment to use the Scooby Doo characters on their new line of lunchboxes. This is an example o
Multiple Choice
contract manufacturing
licensing
creating a subsidiary
franchising
Option B is the correct one. Using intellectual property rights, such as trademarks, patents, brand names, or technologies, is called licensing. It involves the licenser giving the licensee permission to do so under specific guidelines.
A contract or arrangement between two businesses known as a licensing is one that allows one business to give another permission to produce its goods in exchange for a certain fee and subject to certain terms.
The ability to safeguard a company's valuable assets, such as patents, trademarks, copyrights, and trade secrets, depends on having a solid grasp of how these assets operate and are produced.
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What is the main reason to avoid renting to own?
A. If the item breaks, you have to buy a new one.
B. You are buying used merchandise.
C. It can be weeks before the item is delivered.
D. You will pay much more than the cost of the item in a short period of time.
Answer:
D. You will pay much more than the cost of the item in a short period of time.
Renting to own typically involves paying more for the item over time compared to buying it outright. The extra cost comes in the form of fees and interest that are added to the base price of the item. This can make the total cost significantly higher than the original price, leading to a situation where the consumer pays much more than the cost of the item over a short period of time.
True or false The fair Labor standards Act ( FLSA) requires that all employees receive time- and -half for work in excess of 40 hours in a week
Answer:
Yes, all. A non-exempt employee is eligible for overtime/compensatory time for hours in excess of 40 in a given week.
The Bird Carver has 1,800 bonds outstanding with a $1,000 face value, an 8 percent coupon, 10 years to maturity, annual interest payments, and sells at 95 percent of face value. The firm also has 50,000 shares of common stock outstanding at a market price of $56 a share and a beta of 0.87. The risk-free rate is 4 percent, the market return is 12 percent and the tax rate is 35 percent. What is WACC?
The Bird Carver's Weighted Average Cost of Capital (WACC) is 8.87%.
We must ascertain the costs of debt and equity in order to compute the weighted average cost of capital (WACC).
Cost of Debt: The yield to maturity (YTM) of the bonds is used to determine the cost of debt. We can determine the YTM using financial formulae or tools if the bonds have a face value of $1,000, an 8 percent coupon, sell for 95% of face value, and have 10 years before maturity. Let's say that the YTM is 8.5%.
Cost of Equity: The Capital Asset Pricing Model (CAPM) is used to calculate the cost of equity. We may determine the cost of equity using the following equation: Cost of Equity = Risk-Free Rate + Beta * (Market Return - Risk-Free Rate) Given the market return of 12 percent, the risk-free rate of 4 percent, and a beta of 0.87 for the common stock. Assume that the cost of equity is 9.24%.
WACC, or weighted average cost of capital
The weighted average cost of capital, or WACC, is calculated by averaging the costs of debt and equity according to the capital structure of the organisation. Assume that the firm's debt to equity ratio is 1:1. Thus, the WACC can be determined using the formula below:
WACC = (Debt Proportion * Cost of Debt) + (Equity Proportion * Cost of Equity)
= (0.5 * 8.5%) + (0.5 * 9.24%)
= 4.25% + 4.62%
= 8.87%
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