On December 10, 2019, Louise purchased 90 shares of MNM stock for $3,700. On December 9, 2020, she sold the 90 shares for $2,750. Therefore, Louise has:
a. A long-term gain of $950.
b. A long-term loss of $950.
c. A short-term gain of $950.
d. A short-term loss of $950.

Answers

Answer 1

On December 10, 2019, Louise purchased 90 shares of MNM stock for $3,700. On December 9, 2020, she sold the 90 shares for $2,750. Therefore, Louise has a short-term loss of $950. The correct option is D.

To determine whether Louise has a long-term gain, long-term loss, short-term gain, or short-term loss, we need to consider the holding period for the shares.

A holding period of more than one year qualifies as a long-term holding, while a holding period of one year or less is considered short-term.

In this case, Louise purchased the MNM stock on December 10, 2019, and sold it on December 9, 2020, which is less than one year. Therefore, the holding period is short-term.

To calculate the gain or loss, we need to subtract the purchase price from the sale price:

Sale price - Purchase price = $2,750 - $3,700 = -$950

Since the result is negative, we can conclude that Louise has a short-term loss of $950. Therefore, the correct answer is:

d. A short-term loss of $950.

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Related Questions

HELP
When a company/economy is making money,
how does the demand curve shift?
B. down
A. up
D. to the left
C. to the right

HELP When a company/economy is making money,how does the demand curve shift?B. downA. upD. to the leftC.

Answers

Answer:

It's A, The demand curve shifts up

Explanation:

It goes up

When companies adopt the strategy formulation, strategy execution process, the first step is to Group of answer choices develop a strategic vision, mission, and values. execute the company's chosen strategy efficiently and effectively. adopt a proven business model, decide on the company's top management team, and craft a strategy. set objectives and develop a profitable business model to meet those objectives. monitor internal and external developments and initiate corrective adjustments to the business model when necessary.

Answers

Answer:

develop a strategic vision, mission, and values.

Explanation:

In Business management, a strategy can be defined as a set of guiding principles, actions and decisions that an organization combines so as to achieve its business goals, attract customers and possess a competitive advantage over its rivals in the industry.

Business strategy sets the overall direction for the business because it focuses on defining how a business would achieve its goals, objectives, and mission; as well as the funds and material resources required to implement or execute the business plan. The components of a business strategy includes the following;

I. Value.

II. Vision.

III. Mission.

On a related note, when companies adopt the strategy formulation, strategy execution process; the first step is to develop a strategic vision, mission, and values that would effectively and efficiently help it in achieving its aim, goals, objectives, and procedures in order to enhance the survival, growth, and overall effectiveness of a business firm.

When a party to a contract intentionally makes the terms of a contract unclear, it is called: a. vagueness b. ambiguity c. duress d. mistake

Answers

Ambiguity is defined as intentional obscurity in the terms of a contract by the parties to the contract.

Option b is correct .

When a party deliberately makes the terms of a contract unclear, this is the result of tactics such as the use of confusing or misleading language, the use of complex structures or clauses, or the deliberate omission of important details. could be. This action may be viewed as an attempt to deceive or manipulate the other party for personal gain.

Unclear terminology can lead to disagreements and disputes between parties. Each party may interpret the intent of the agreement differently, which may lead to disputes and legal action. Deliberately vague contract terms can take advantage of an imbalance of power between the parties. For example, a party with more knowledge or expertise may intentionally cause confusion in order to gain an advantage over a party with less information or less experience.

Hence, Option b is correct .

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Suppose the dollar value of imports to the u.s. exceed the dollar value of exports from the us. this implies that?

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A trade deficit indicates that the U.S. is importing more than it is exporting, which has both benefits and drawbacks for the economy.

If the dollar value of imports to the U.S. exceeds the dollar value of exports from the U.S., it implies that the U.S. has a trade deficit.

A trade deficit occurs when a country imports more goods and services than it exports. In this case, the U.S. is buying more goods and services from other countries than it is selling to them. As a result, money is flowing out of the country to pay for these imports, which leads to a negative balance of trade.

Having a trade deficit can have both positive and negative implications. On the positive side, it allows consumers in the U.S. to access a wider variety of goods and services at potentially lower prices. It also encourages international cooperation and trade relationships.

However, on the negative side, a trade deficit can lead to a loss of domestic jobs and competitiveness in certain industries. It can also increase the country's reliance on foreign economies and potentially impact the value of the U.S. dollar in relation to other currencies.

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Consider a circle whose equation is x2 + y2 – 2x – 8 = 0. Which statements are true? Select three options. The radius of the circle is 3 units. The center of the circle lies on the x-axis. The center of the circle lies on the y-axis. The standard form of the equation is (x – 1)² + y² = 3. The radius of this circle is the same as the radius of the circle whose equation is x² + y² = 9.

Answers

According to the question of equation, the first statement is true. The second statement is false. The third statement is false. The fourth statement is true. The fifth statement is false.

What is equation?

Equation is a mathematical statement that expresses the equality of two expressions by using symbols. It typically consists of an equal sign and two expressions or terms that are linked by the equal sign. These expressions or terms can contain numbers, variables, constants, and mathematical operations such as addition, subtraction, multiplication, and division. Equations are used to describe physical phenomena and solve problems.

The radius of the circle is 3 units because the equation can be rearranged to (x – 1)² + y² = 3, which is the standard form of a circle. The center of the circle lies at the point (1, 0) and does not lie on the x-axis. The center of the circle lies at the point (1, 0) and does not lie on the y-axis. The standard form of the equation is (x – 1)² + y² = 3. The radius of this circle is 3 units, while the radius of the circle whose equation is x² + y² = 9 is 3√2 units, which is not the same as 3.

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consider the market for falafel. if the government imposes a tax on falafel: group of answer choices there will be a gain of producer surplus. there will be a loss of consumer surplus. more falafel will be produced. deadweight loss will be minimized.

Answers

The imposition of a tax on falafel will lead to a loss of consumer surplus, as the price paid by consumers will increase, making the good less affordable for them.

However, producers will benefit, as the price they are paid for the good will increase, resulting in an increase in their producer surplus. In addition, the quantity of falafel produced will also likely increase, as producers will have an incentive to produce more as the price of the good has increased.

As a result of this, deadweight loss will be minimized, as the tax will have helped to correct the underproduction of falafel, making it more profitable to produce it.

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calculate the future value of the following annuity streams: a. $4,000 received each year for 4 years on the last day of each year if your investments pay 6 percent compounded annually.

Answers

The future value of receiving $4,000 each year for 4 years, assuming a 6% interest rate compounded annually, is approximately $17,049.84.

To calculate the future value of an annuity stream, we can use the formula for the future value of an ordinary annuity:

Future Value = Payment × [(1 + Interest Rate)^(Number of Periods) - 1] / Interest Rate

In this case, we have:

Payment = $4,000 (the amount received each year)

Interest Rate = 6% (or 0.06, expressed as a decimal)

Number of Periods = 4 years

Plugging these values into the formula, we get:

Future Value = $4,000 × [(1 + 0.06)⁴ - 1] / 0.06

Calculating the expression inside the brackets first:

(1 + 0.06)⁴ = 1.262476

Now we can calculate the future value:

Future Value = $4,000 × (1.262476 - 1) / 0.06

Future Value = $4,000 × 0.262476 / 0.06

Future Value ≈ $17,049.84

Therefore, the future value of receiving $4,000 each year for 4 years, assuming a 6% interest rate compounded annually, is approximately $17,049.84.

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Patty’s Pottery Company decided to sell its coffee mugs in the local coffee shop. What marketing decision was this?

Question 10 options:

Place


Promotion


Product


Price

Answers

Answer:

A- Place

Explanation:

Place refers to distribution or the methods and location.

if the last dollar spent on capital generated $1.05 in return while the last dollar spent on labor generated $0.99 in return, then in the long-run the firm should

Answers

Then in the long-run the firm should reduce its spending on labor and increase its spending on capital.

Explain in detail.

Long-term, a company can alter all of its inputs because they are all changeable in nature. The final dollar invested in each input yields an equal return at the equilibrium level of output. The company will logically decrease spending on that latter input and raise spending on its former input if one element generates a higher return on investment than the other.

Equilibrium is defined as MPK / MPL = r/w.

Here, MPK and MPL stand for return on capital and labor, respectively, where r=w=1 dollar.

MPK = MPL hence at equilibrium

The company should "lower its spending on labor in the long run" if the last dollar spent on capital produced $1.05 in return whereas the last dollar spent on labor produced $0.99 in return.

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Strategies for managing conflict

Answers

Can I get a brainest point plsssssss

1. Don't Ignore Conflict

If you're someone who dislikes dealing with conflict, it might seem tempting to just put your head in the sand and pretend it doesn't exist, hoping it will resolve itself on its own. While this sometimes can happen, the truth is that the vast majority of the time, this will only cause the situation to get worse. Ignored conflicts have a tendency to fester over time and reappear at inopportune moments, so do your team a favor and address conflicts when they occur, nipping a potentially toxic situation in the bud as soon as you recognize it.

2. Clarify What the Issue Is

If you're dealing with a conflict between two members of your team, it's important that you get all the facts. Sit down with each individual involved and find out exactly what the issue is. How is each individual perceiving the situation? What needs are not being met? What does each party see as an appropriate resolution? Make sure that all parties involved understand that you are acting as an impartial mediator, and let them know they can feel comfortable to share sensitive information.

3. Bring Involved Parties Together to Talk

Once you've had a chance to talk to all involved parties separately, bring them together in a meeting so that they can hash out their differences in a neutral environment. This is a time for brainstorming, active listening, and being open to different perspectives - the goal is to come to a common understanding of what the problem is, what role each individual is playing in the conflict, and what some possible solutions might be.

4. Identify a Solution

After both parties have had a chance to discuss the situation at hand, it's time to identify what a satisfactory resolution might be - and how to get there. Ideally, by this point, both parties will understand the other's side, and oftentimes the conflict will be resolved just through facilitated, open dialogue. However, if the situation requires further resolution, you will need to step in and help them negotiate a reasonable solution. This phase can require some time and effort, as it requires both parties to set aside their differences and preferences and find some common ground to work towards (which may involve not getting everything they want out of the situation). Then, work with both individuals to come up with a concrete list of steps that will result in the solution being achieved.

5. Continue to Monitor and Follow Up on the Conflict

Just because a solution has been identified and addressed doesn't mean it will just go away. As a manager, it's your responsibility to check in with both parties to ensure that the conflict has truly been dealt with, and that the steps identified to reach a solution are being followed. If all seems to be going well, simply remember to stop and observe from time to time, just to see if things really are going smoothly or if there are still lingering tensions under the surface that need to be handled. If it's clear that the solution didn't work, or wasn't the right resolution for the situation, make sure to be proactive in working with both parties to readjust expectations, identify alternative solutions, and continue their dialogue to create a positive and healthy work environment.

11. What are assets?
O
a business organization owned by two or more persons who agree on a specific division of responsibilities and profits
O
assessments on a partnership such as taxes
money and other valuables belonging to an individual or business
a type of partnership in which partners share equally in both responsibilities and liabilities

Answers

Answer:

assessments on a partnership such as taxes

money and other valuables belonging to an individual or business

Explanation:

assets are company possession and fall under micro environment (internal environment)

What Economic Issue arises in this graphic due to the Max Price being below Equilibrium?

Answers

As u asked in ur question which food we should have before exercise : ANSWER is - Option (B)

cross check if u have doubt it's correct..

Mike relocated for work and learned that the region in which he planned to buy a home had many old underground mines. In fact, Mike might even need to purchase mine subsidence insurance. What might a home inspector flag for Mike if there are any concerns about undermining

Answers

The issue that a home inspector will flag for Mike, given the concerns about a undermining, is the formation of a sinkhole on the property

The reason for the presence of a sinkhole on the property being raised by the home inspector is as follows;

The location Mike intended to buy a home is one with several underground mines, such that Mike could need mine subsidence insurance

A home inspection is an aid that helps a person intending to but a house make more informed decisions about the home under consideration

The function of an home inspector includes the identification of the issues that could possibly arise and the maintenance to be expected on the property, and therefore, the risks and opportunity in the purchase

Among the potential risk that will raised by a home inspector on the property with underground mines include the possibility of a sinkhole on the property

A sinkhole is a surface depression that results due to dissolution of near surface rocks by water draining into cavities under the soil surface, thereby eroding the rock such limestone, underneath, that develops in a manner which is not readily obvious or predictable

Sinkhole are not covered by most homeowner's insurance policy, making the property a money pit

Therefore, the home inspector might flag the likelihood of a sinkhole on the property

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Understand the difference between exclusive provider organization and point of service providers.

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Flexibility is typically the most significant distinction between PPO and POS plans. At a higher cost, a PPO, or Preferred Provider Organization, gives you a lot of flexibility to see the doctors you want. Plans for Point of Service (POS) have lower prices but fewer options.

With limited coverage or reimbursement for out-of-network providers, a PPO offers greater flexibility. An EPO has fewer restrictions and provides less coverage or reimbursement for providers outside of the network. An EPO typically costs less than a PPO for members who are careful with their money.

How do EPO and HMO differ from one another?

The primary difference between an HMO and an EPO is that an HMO requires you to choose a primary care physician (PCP) to plan your medical care and refer you to specialists.If you have an EPO, you can talk to experts without getting a referral.

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"COMPUTER SHOP"

Management Theory
Management Plan/Sustainability Plan

Answers

The computer store may embrace TQM as its management philosophy (TQM). TQM is a management strategy that places an emphasis on enhancing the quality of products and services continuously.

Does TQM involve ongoing improvement? Why?

TQM is centred on enhancing organisational processes continuously to produce high-quality goods and services. Doing things correctly the first time and every time is TQM's ideal objective. The final arbiter of quality is the consumer. Quality cannot be raised without suffering considerable production losses.

Whole quality management definition TQM as a method of management?

Total Quality Management (TQM) is a management paradigm based on the idea that by having all of an organization's members, from entry-level employees to its highest ranking executives

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please type what belongs in the highlighted squares
ill give brainliest

please type what belongs in the highlighted squaresill give brainliest

Answers

To get the total revenue for the fourth quarter  add the revenue for the month that apply

October revenue         +  $500 000  

November revenue       +  $425 000

December  revenue       +  \(\\)860  000

the sum total is           =      1,011,000

therefore the fourth quarter  revenue is $1,011,000

To calculate EBITDA subtract the expenses from the revenue

Revenue                         $6500  000

Expenses                   -   $5375  000

EBITDA           =               1, 125, 000

therefore the  EBITDA is $1, 125, 000

To calculate Total Market Capitalization, multiply the number of share by the price per share we divide the

Number of shares             \(\\)2500 000

price per share               x    \(\\) 23  77                                          

                                   =   $5,942500, 000            

therefore the Total Market Capitalization is  $5,942500, 000  

To calculate the earning per share divide the earning by the number of shares

Earning  $5000 000 / Number of shares  $2500  000 =  2          

therefore the earning per share is   2

What is EBITDA?                  

The abbreviation. EBITDA for stands for earnings before interest, taxes, depreciation, and amortization in business. EBITDA is very vital in understanding a business's ability to generate cash flow for its owners and use for judging a company's operating performance.  

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True or False. Liquidity means that your money is tied up and unavailable.

Answers

Answer: True

Explanation:

Discuss the various stakeholder groups that should be involved in the organization's decision to adopt a cloud-based applications software. what should be the concern of each stakeholder group?

Answers

Stakeholders are those who have an interest or are affected by an organization's operations, and they may influence or be impacted by the decisions made by the organization.

When an organization is considering adopting a cloud-based application software, there are various stakeholder groups that should be involved and their concerns should be taken into account.These stakeholders are as follows:1. Employees - Employees are a significant stakeholder group that should be involved in the decision to adopt cloud-based applications. They should be informed of the advantages and disadvantages of using cloud-based software and trained on how to utilize it effectively.2. Management - Management is responsible for making the final decision. The concerns of the management will be mainly around the cost of the software, the training required, the impact on other organizational systems, and the time frame to implement it.3. Customers - Customers are concerned about the safety and privacy of their information, as well as the accessibility and availability of the software.4. Shareholders - Shareholders want to be certain that the decision to adopt cloud-based software will increase profitability. They want to know about the organization's finances, return on investment, and other business metrics that demonstrate the company's ability to maintain profitability.5. Suppliers - Suppliers might be interested in the adoption of cloud-based software if it improves their customer's ability to collaborate and operate more effectively with their suppliers. Each stakeholder group has different concerns that must be addressed to ensure that their interests are safeguarded, and that the organization's overall goal of adopting a cloud-based application software is met. The concerns of the stakeholders are typically based on their area of expertise and level of influence. For example, employees are concerned about how the software will affect their job performance and what new skills they need to learn. On the other hand, customers are concerned about the safety and privacy of their information, and how the software will improve their user experience. Shareholders want to see a return on their investment, and the decision to adopt cloud-based software should demonstrate how it will increase profitability.The stakeholders' interests should be assessed and considered throughout the decision-making process to ensure that the best decision is made for the organization. The concerns of each stakeholder group must be understood, and the appropriate communication channels should be established to address any issues that may arise from the adoption of cloud-based software.

In conclusion, an organization must carefully examine all the stakeholder groups and their concerns before deciding to adopt cloud-based application software. Employee, management, customers, shareholders, and suppliers are the main stakeholder groups that should be involved in the decision-making process. The organization must ensure that the decision taken is in the best interest of all stakeholders, and their concerns are appropriately addressed. Proper communication channels should be established to address any issues that may arise from the adoption of cloud-based software.

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true/False? an evaluation model is a technique that uses a common yardstick to measure and compare vendor ratings.

Answers

True. An evaluation model is a technique that uses a common yardstick to measure and compare vendor ratings. For example, a vendor might be evaluated according to factors such as cost, quality, timeliness, and customer service.


An evaluation model is a tool or framework that is used to assess or measure the effectiveness, efficiency, or success of a program, project, process, product, or service. Evaluation models are designed to provide objective and reliable information that can be used to inform decision-making, improve performance, and optimize outcomes.

There are different types of evaluation models, and they can vary depending on the nature of the subject being evaluated and the purpose of the evaluation. Some of the commonly used evaluation models include outcome-based evaluation, process evaluation, cost-benefit analysis, logic models and quality assurance models.

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why might a tenant prefer a lease with a higher effective rent than an alternative lease with a lower effective rent?

Answers

A tenant might prefer a lease with a higher effective rent than an alternative lease with a lower effective rent because the tenant might want to keep the space for a long time, or they might think the rent will increase over the course of the extended lease.

The term "effective rent" refers to the actual rental rate that the landlord will achieve after deducting the value of concessions from the base rental rate that is paid or given to the tenant (such as a build-out or renovation allowance, free rent, a moving allowance, etc.). Effective rent is typically expressed as an average lease rate.

Due to the way it is structured, percentage leases are most frequently used when negotiating with retail tenants, particularly if they will be joining a multi-tenant retail space like a mall or shopping center.

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businesseconomicseconomics questions and answersrefer to exhibit 28-4. if a labor union successfully organizes the labor market and sets the wage rate at w4, the quantity of labor hired will be a)q1. b)q2. c)q3.
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Question: Refer To Exhibit 28-4. If A Labor Union Successfully Organizes The Labor Market And Sets The Wage Rate At W4, The Quantity Of Labor Hired Will Be A)Q1. B)Q2. C)Q3.
Exhibit 28-4
Wage
Rate
W2-T---
0
01 02 O,
Quantity of Labor
4
Refer to Exhibit 28-4. If a labor union successfully organizes the labor market and sets the wage rate at W4, the quantity of labor hired will be
a)Q1.
b)Q2.
c)Q3.
d)Q4.
e)cannot be determined

Answers

If a labor union successfully organizes the labor market and sets the wage rate at W4, the quantity of labor hired will be (b) Q2.Exhibit 28-4 shows a labor market supply and demand curve where the equilibrium wage rate and quantity of labor hired are represented by W2 and Q2 respectively.

Exhibit 28-4, which shows the relationship between wage rate and quantity of labor?

Exhibit 28-4 shows a labor market supply and demand curve where the equilibrium wage rate and quantity of labor hired are represented by W2 and Q2 respectively.

If a labor union successfully organizes the market and sets the wage rate at W4, which is higher than the equilibrium wage, the quantity of labor demanded by firms will decrease, and the quantity of labor supplied by workers will increase. This will result in a surplus of labor or unemployment in the market.

Therefore, the quantity of labor hired will be less than Q2, but it cannot be determined from the given information whether it will be Q1 or Q3 or some other value.

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Banks do not hold a lot of their assets in the form of cash mainly because of:
a. regulation.
b. the fear of being robbed.
c. the opportunity cost of holding cash, cash does not earn interest.
d. it can encourage employee theft.

Answers

Banks do not hold a lot of their assets in the form of cash mainly because of  the opportunity cost of holding cash, cash does not earn interest.  The correct option is C.

Opportunity costs are the possible advantages that a person, investor, or company forgoes while deciding between two options. It is necessary to weigh the advantages and disadvantages of each choice offered in order to correctly assess opportunity costs.

The interest that could have been made if the cash had been used to buy bonds instead is the opportunity cost of keeping any money balance.

Therefore, due to the  opportunity cost of holding cash and cash does not earn interest banks does nor prefer to hold a lot of their assets in the form of cash .

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the 1000 par value bonds of uptown tours haev a coupon rate of 6.5 and a current price quote of 101.23. What is the current yield?a.6,49 percent b.6.58 percent c.6.60 percent d.6.37 percent e.6.42 percent

Answers

the current yield is approximately 6.42 percent (option e).

Bond current yield calculation?

To calculate the current yield, you need to divide the annual coupon payment by the current market price and multiply by 100 to express it as a percentage.

Given information:

Coupon rate = 6.5%

Current price quote = 101.23

First, calculate the annual coupon payment:

Coupon payment = Par value x Coupon rate

Coupon payment = $1000 x 6.5% = $65

Next, calculate the current yield:

Current yield = (Annual coupon payment / Current price) x 100

Current yield = ($65 / $101.23) x 100

Using a calculator, you can find the value of ($65 / $101.23) x 100 ≈ 64.24

Therefore, the current yield is approximately 6.42 percent (option e).

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Suppose that there are small, but nontrivial, barriers to entry into
a monopolistically competitive market. How would this affect the long-run
profitability of firms in the market? It’s

Answers

Answer:

Firms make normal profits

Explanation:

Monopolistic competition is characterized by many firms selling similar but differentiated products. Each firm sets its price because they sell slightly different products. There are insignificant or no barriers to entry or exit in a monopolistic competition.

It is possible to make abnormal profits in monopolistic competition in the short run. Due to ease of entry and exit, a firm with abnormal profits will face competition from new entrants. In the long-run, no firm will dominate the market, which means all firms will be making normal profits.

Which resource can you use to view business or suppliers divided into different categories?

You may use online or offline (blank) to view businesses or suppliers classified into different categories.

Answers

Answer:

yellow pages

Explanation:

Answer:

It's "Yellow Pages"

Explanation:

I got it right!!

why would a technology supply store advertise new tvs at $100 a month for 12 months instead of a price of $1,200? to encourage customers to buy more than one item to make a larger price tag look more manageable to make signage more attractive to shoppers to significantly reduce the amount of tax taken

Answers

The solution is to make a larger rate tag look more doable. With a price tag of six hundred greenbacks, it is a large rate tag for tv, that is why advertising a tv for a hundred bucks for six months is more appealing because it’s loads less luxurious and it's far considered to be potential.

Advertising's important aim is to grow the number of folks that purchase your product. you may acquire this by using the use of advertisements to influence clients that your product is superb, beneficial, or applicable.

The five capabilities of advertising are informing, influencing, growing salience, adding price, and other efforts. corporations tell by using imparting facts approximately their groups and products. They affect by convincing purchasers to shop for positive services or products over others.

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(a) An amount of $100 is deposited into an account at the end of the 1st year, after which payments of $200, $400, $600,... are deposited at the end of every 2 years, that is, there will be a payment of $200 at time 3, a payment of $400 at time 5, and so on. The last payment will be made at the end of the 15th year. Determine the present value if the annual effective rate of interest is 2%. Round your answer to the nearest cent. [7] (b) An annuity-due consists of a first payment of $100, with subsequent payments increased by 7% over the previous one until the 10th payment, after which subsequent payments are level at the amount of the 10th payment. If the effective rate of interest is 7% per payment period, determine the present value of this annuity-due with 20 payments. Round your answer to the nearest cent

Answers

The present value of the series of uneven cash flows and the annuity-due with increasing and level payments can be calculated by discounting each cash flow back to the present using the respective effective rates of interest.

(a) To calculate the present value of the series of uneven cash flows, we need to discount each cash flow back to the present using the given annual effective rate of interest of 2%. The first cash flow of $100 at the end of the 1st year does not need to be discounted since it is already at the present time. The subsequent cash flows of $200, $400, $600, and so on, occur every 2 years. We can treat these cash flows as a series of regular cash flows of $200 at the end of every 2 years. We can use the present value of an ordinary annuity formula to calculate the present value of these cash flows:

Present Value = \($100 + $200/(1 + r)^2 + $200/(1 + r)^4 + $200/(1 + r)^6 + ... + $200/(1 + r)^30\)

where r is the annual effective rate of interest (2% in this case). By substituting the values and calculating the sum, we can find the present value of this series of cash flows.

(b) For the annuity-due with increasing payments followed by level payments, we need to calculate the present value of each payment and then sum them up to find the total present value. The first payment is $100 and subsequent payments increase by 7% over the previous one until the 10th payment. After the 10th payment, subsequent payments remain constant at the amount of the 10th payment. We can use the present value of an annuity-due formula to calculate the present value of these cash flows:

Present Value = \($100/(1 + r) + ($100 * (1 + g))/(1 + r)^2 + ($100 * (1 + g)^2)/(1 + r)^3 + ... + ($100 * (1 + g)^10)/(1 + r)^11 + ($100 * (1 + g)^10)/(1 + r)^12 + ... + ($100 * (1 + g)^10)/(1 + r)^30\)

where r is the effective rate of interest (7% per payment period) and g is the growth rate of subsequent payments (7% in this case). By substituting the values and calculating the sum, we can find the present value of this annuity-due with 20 payments.

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Income attributable to controlling and noncontrolling interests in the presence of subsidiary preferred stock Assume that a Parent owns 90% of a subsidiary that has 4% preferred stock outstanding with a reported par value of $500,000. Aside from the preferred dividends, no other dividends are paid (i.e., no dividends are paid to the common shareholders). The Parent Company owns 40 percent of the preferred stock. Assume that the Subsidiary reports net income of $140,000. During the year, the Parent company reported $200,000 of (pre-consolidation) income from its own operations (i.e., prior to any equity method adjustments by the Parent company).
Compute the amount of consolidated net income attributable to the noncontrolling interest and the amount of net income attributable to the controlling interest.

Answers

The amount of consolidated net income attributable to the noncontrolling interest is $14,000 and the amount of net income attributable to the controlling interest is $286,000.

The amount of consolidated net income attributable to the noncontrolling interest and the amount of net income attributable to the controlling interest can be computed as follows;

Amount of net income attributable to the controlling interest The parent owns 90% of the subsidiary which implies that the parent's interest in the subsidiary is $126,000 ($140,000 x 90%). Additionally, the parent owns 40% of the $500,000 preferred stock, which equates to $200,000 ($500,000 x 4% x 40%). The parent's share of subsidiary income after deducting preferred stock dividend is $86,000 ($126,000 - $200,000).

Therefore, the amount of net income attributable to the controlling interest is $286,000 ($86,000 + $200,000).Amount of consolidated net income attributable to the noncontrolling interest The amount of consolidated net income attributable to the noncontrolling interest is $14,000 ($140,000 x 10%).This implies that the total consolidated net income is $300,000 ($286,000 + $14,000).

Therefore, the amount of consolidated net income attributable to the noncontrolling interest is $14,000 and the amount of net income attributable to the controlling interest is $286,000.

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what are some basic marketing strategies

Answers

Claim Your Business Online.  

think positively.ALWAYS THINK POSITVE!!!

promote it n social media.

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Advertise Online.  

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Tonya lives in Texas. On a trip to Kansas her car broke down in Oklahoma. She used a gas station bathroom but did not buy gas. When she got to Kansas she refueled her vehicle and attended her conference where she ate food and purchased a trinket. She paid a sales tax on the trinket. On her way back she detoured to Colorado and marveled at the beauty of the bighorn sheep and the North American river otter. In which states was Tonya a free rider?

Answers

Answer:

Oklahoma (used a gas station bathroom but didn't by gas)

Explanation:

A free rider is someone that benefits from using a service or a product but that doesn't pay for it. E.g. a person that lives in city A and travels to city B and uses public parks. The parks are financed through taxes paid by residents of city B, since you pay your taxes in city A, you are a free rider in city B.

Her trip to Colorado wouldn't be considered a free ride since the bighorn sheep and the river are things that occur naturally and no one paid to make them.

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