Cows can be privately owned while in many countries elephants can not. This is because private ownership of cows can create incentives for their owners to take care of them.
Although the number of cows slaughtered every year for meat far exceeds the number of elephants slaughtered every year for their ivory, cows can be found everywhere while elephants are on the verge of extinction in some countries. Among the provided options, the best explanation for this difference is that cows can be privately owned while in many countries elephants cannot. Cows can be privately owned while in many countries elephants can not. This is because private ownership of cows can create incentives for their owners to take care of them. In contrast, most elephants are owned by the state, and people have little incentive to protect them because they do not have ownership rights. Moreover, private ownership rights for physical assets and resources can make sure the asset owners are responsible if the use of their assets imposes harm on others. Elephants are some of the world's most magnificent creatures. However, they are on the verge of extinction in some countries, despite the fact that the number of cows slaughtered every year for meat is far greater than the number of elephants slaughtered every year for their ivory. Cows can be found everywhere, while elephants are struggling to survive. This article examines why this is the case. Among the given options, the most logical explanation for this difference is that cows can be privately owned while in many countries elephants cannot.
Private ownership of cows creates incentives for their owners to take care of them. As a result, most cows are well-fed, well-housed, and well-looked after, ensuring a constant supply of meat for consumption. In contrast, most elephants are owned by the state, and people have little incentive to protect them because they do not have ownership rights. People are more likely to take care of something if they own it or if they have a stake in it. Thus, in many countries, elephants are neglected, abused, or slaughtered because they are considered pests or threats to crops. Private ownership rights for physical assets and resources can make sure the asset owners are responsible if the use of their assets imposes harm on others. The laws and regulations on private property help safeguard the rights of property owners and the public at large. Private ownership also encourages responsible behaviour from asset owners.
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Carl is an electrician. A new building is starting construction. Carl would like to win the contract for
electrical work for the building. He should
do nothing; they will contact him if they need his work
O send a resumé
O call and leave a long voicemail that gives prices and procedures
O create a type of business report called a business proposal
A enterprise idea is a formal report that's created by means of a enterprise and furnished to a prospect to invulnerable a commercial enterprise agreement. It's a frequent misconception that enterprise proposals and enterprise plans are the same.
The notion targets to promote your product or carrier alternatively than your enterprise itself.
What is called business proposal?Image end result for TO create a type of commercial enterprise document called a commercial enterprise proposal
A commercial enterprise proposal is a document that outlines a proposed enterprise plan, detailing the product or services to be provided, the fees related with the project, and the predicted outcomes.
Is a business concept a report?Some human beings tend to use them interchangeably, though they refer to two kinds of professional documents. A formal research record is carried out to see if a workable assignment will succeed, while a business notion is written with the intention of beginning a new product.
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Tim Horton wants to raise funds to open a branch of their coffee shop in Trinidad. To raise the funds, Tim Horton would sell bonds 100 $1,000 par value with a coupon interest rate of 6%. The bonds would mature in 15 years and interest would be paid semi-annually. The required rate of return is expected to be 8%.
Requirement:
a) Calculate the value of one bond
b) What is the total amount Tim Horton would raise if all bonds were sold?
Answer:
a) The value of one bond is $837.08.
b) The total amount Tim Horton would raise if all bonds were sold is $83,708.
Explanation:
a) Calculate the value of one bond
This can be calculated as follows:
Annual coupon = Bond face value * Coupon interest rate = $1,000 * 6% = $60
Annual coupon discount factor = ((1 - (1 / (1 + r))^n) / r) .......... (1)
Where;
r = required semi-annual rate of return = required annual rate of return / number of semi-annual in a year = 8% / 2 = 0.08 / 2 = 0.04
n = number of semi-annuals = number of years * number of semi-annual in a year = 15 * 2 = 30
Substituting the values into equation (1), we have:
Semi-annual coupon discount factor = ((1-(1/(1 + 0.04))^30) / 0.04) = 17.2920333006645
Present value of coupon = ((Annual coupon / number of semi-annual in a year) * Semi-annual coupon discount factor) = (($60 / 2) * 17.2920333006645 = $528.76
Present value of the face value of the bond = Face value of the bond / (1 + r)^n = ($1,000 / (1 + 0.04)^30 = $308.32
Therefore, we have:
Bond value = Present value of coupon + Present value of the face value of the bond = $528.76 + $308.32 = $837.08
Therefore, the value of one bond is $837.08.
b) What is the total amount Tim Horton would raise if all bonds were sold?
Number of bonds expected to be sold = 100
Value of one bond = $837.08
Total amount that would be raised = Number of bonds expected to be sold * Value of one bond = 100 * $837.08 = $83,708
Therefore, the total amount Tim Horton would raise if all bonds were sold is $83,708.
How does HeForShe link to identity and what's the genre of the webpage?
(just waffle loads of paragraphs)
PLEASEEEEEEEEEE SOMEONE HELP
Answer:
pls detail your question for a better answer
Explanation:
I don't seem to get what you are talking about
20 POINTS please answer quick!
Why do you think that most careers in the Education and Training cluster require a college degree of some sort? Explain in detail.
Answer:
There are different kind of careers that one can pursue in life; in order to choose a particular career, one has to consider some important factors.
Explanation:
Consider an all-equity financed Chinese firm Tentent Ltd. Due to
its past investments, the firm will generate net cash flows of ¥5M
now (t=0) and ¥10M next year (t=1). The expected return on the
equ
Tentent Ltd., an all-equity financed Chinese firm, is expected to generate net cash flows of ¥5 million at t=0 and ¥10 million at t=1. The expected return on equity is not provided in the question, so we cannot determine the specific value without additional information.
To calculate the expected return on equity, we need the required rate of return or the cost of equity for Tentent Ltd. The expected return on equity is the return that shareholders expect to receive on their investment in the firm. It is influenced by factors such as the company's profitability, growth prospects, and risk profile.
Without the information on the expected return on equity or the cost of equity, we cannot calculate the specific value. To determine the expected return on equity, we would need additional information regarding the firm's cost of equity or any other relevant factors.
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(PROJECT RISK
MANAGEMENT)
Discuss, Explain, Elaborate and Prepare a Risk Response Plan
based on the issue encountered for future project reference -
Construction Collapse Risk.
Risk management is a crucial aspect of any project, and an effective risk response plan is essential for identifying, assessing, and mitigating potential risks.
One of the significant risks that need to be considered is the construction collapse risk, which may pose a significant threat to project delivery and the safety of people involved in the project.
This essay discusses, explains, and elaborates on preparing a risk response plan based on the construction collapse risk to ensure effective risk management.
The first step in preparing a risk response plan for the construction collapse risk is identifying the risk.
This involves reviewing the construction design, materials used, and the location to determine the potential causes of collapse. Additionally, past construction collapses can be studied to identify any common causes or trends.
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4. Identify the accounts affected by the following transaction and show action to take in recording
the accounts in the double entry system.
Transaction
Account to be
credited
Account to be
debited
(i) Owner put cash into business.
(ii) Bought goods for cash.
(iii) Sold goods for cash.
(iv) Received cash for rent.
FDM
(v) Owner withdraws cash from business
for personal use.
Answer:
Explanation:
A debit entry represent an increase while a credit entry represents a decrease in an expense and asset account . but in a liability and capital account , a credit entry increases and a debit entry decreases the balance
1) Owner put cash into business
Account to be credited Account to be debited
Capital (increases ) Cash (increases)
2)Bought good for cash
Cash (decreases) Merchandise Inventory (increases)
3) Sold goods for cash
Merchandise inventory(decreases ) Cash (increases)
4)Received cash for rent
Rental income(increases) Cash ( increases)
5)Owners withdraw cash
Cash (reduces) Drawing (increases)
A survey of 800 college seniors resulted in the following crosstabulation regarding their undergraduate major and whether or not they plan to go to graduate school. Undergraduate Major Graduate School Business Engineering Others Total Yes 70 84 126 280 No 182 208 130 520 Total 252 292 256 800 ? Of those students who are planning on going to graduate school, what percentage are majoring in engineering? 40.4 10.5 28.8 30.0
The percentage of engineering students among those who plan to go to graduate school is 30%. Therefore correct answer is option D.
To calculate the percentage of engineering students among those who plan to go to graduate school, we need to divide the number of engineering students by the total number of students planning to go to graduate school and then multiply by 100 to obtain the percentage.
From the given data:
Number of engineering students planning to go to graduate school: 84
Total students planning to go to graduate school: 280
Percentage of engineering students among students planning to go to graduate school:
(84 / 280) * 100 = 30%
Therefore, the percentage of engineering students among those who plan to go to graduate school is 30%.
The question should be:-
A survey of 800 college seniors resulted in the following cross-tabulation regarding their undergraduate major and whether or not they plan to go to graduate school.
Undergraduate Major
Graduate School Business Engineering Others Total
Yes 70 84 126 280
No 182 208 130 520
Total 252 292 256 800
Among the students who plan to go to graduate school, what percentage indicated Engineers?
A. 40.4
B. 10.5
C. 28.8
D. 30.0
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When using the indirect method to prepare the operating activities section of the statement of cash flows, the first amount listed is:.
When using the indirect method to prepare the operating activities section of the statement of cash flows, the first amount listed is: Net income.
What is operating activities?Operating activities has to do with the day to day activities involve in the running of a business.
When preparing the operating activities section of the statement of cash flows using indirect method the first step is to take the net income from the company or organization income statement.
Inconclusion the first amount listed is: Net income.
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how can a reduction in taxation be used to influence aggregate demand
Answer:
shifting the aggregate demand curve to the right.
Explanation:
A mentally incompetent person cannot enter into a legal contract. Which of the following four elements of a contract would be missing if this were to occur?
Agreement
Consideration
Legal subject matter
Contractual capacity
A mentally incompetent person cannot enter into a legal contract because the element of "Contractual Capacity" would be missing.
Contractual capacity refers to the ability of both parties to understand and agree to the terms of the contract. In this case, the mentally incompetent person lacks the mental capacity to fully comprehend the terms of the contract and therefore cannot give their informed consent. Without contractual capacity, the contract is not legally binding and may be deemed void or unenforceable.
The other three elements of a contract (agreement, consideration, and legal subject matter) may be present, but without contractual capacity, the contract cannot be executed.
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1. Describe how an apoptosis-inducing signal can transduce through intrinsic and extrinsic pathways to activate the initiator caspases. (10 marks)
Answer:
Explanation:
Apoptosis is an important biological process that regulates cell death and is essential for development, tissue homeostasis, and immune defense. Apoptosis-inducing signals can be transduced through intrinsic and extrinsic pathways to activate the initiator caspases.
The intrinsic pathway is initiated by cellular stress, such as DNA damage, hypoxia, or oxidative stress. These stress signals can activate the tumor suppressor p53, which in turn induces the expression of pro-apoptotic proteins such as Bax, Bak, and Puma. These proteins induce the release of cytochrome c from the mitochondria, which binds to Apaf-1 to form the apoptosome complex. The apoptosome complex recruits and activates initiator caspase-9, which then cleaves and activates the effector caspases-3, 6, and 7. This results in the cleavage of various cellular substrates, leading to the characteristic morphological and biochemical changes seen in apoptosis.
The extrinsic pathway, on the other hand, is initiated by extracellular signals such as cytokines, death ligands, or immune receptors. These signals bind to their respective receptors on the cell surface, which then activate caspase-8 through the recruitment of adaptor proteins such as FADD. Caspase-8 can also directly cleave and activate the effector caspases, leading to apoptosis. In some cases, the extrinsic pathway can also activate the intrinsic pathway through the cleavage of the pro-apoptotic protein Bid, which then translocates to the mitochondria and induces cytochrome c release.
In summary, apoptosis-inducing signals can transduce through both intrinsic and extrinsic pathways to ultimately activate the initiator caspases. These pathways intersect at various points and can crosstalk, leading to a coordinated and regulated cell death process.
this year bill purchased 1,000 shares of cain common stock for $12 per share. at year-end, the cain shares were worth $32 per share. what amount must bill include in income this year?
Bill paid $12 a share this year to buy 1,000 shares of Cain common stock. The value of the Cain shares at year's end was $32 per share. Up until the stock is sold, there is no realisation.
The realisation principle states that revenues are not recognised until they are actually realised. The moment at which profits are achieved is contingent. For instance, money is generated when goods are delivered to clients rather than when the delivery contract is signed.
One of the cornerstones of contemporary accounting, the realisation principle of accounting, offers a direct response to this query. The accrual system of accounting was also created concurrently by the realisation principle.
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Which best description of joint tenancy is best? Two or more people own a property equally or two or more people in the same family own a property equally
Answer:
Two or more people own a property equally
Explanation:
This persons who equally own a property may not necessarily be a family member, and the property may be a business, brokerage accounts or a real estate (a single home).
In most cases however, this Joint tenancy is made between married couples, wherein both parties equally own a property and share in the responsibilities of that property. Ownership is transferred to the other remaining members of the agreement automatically if one party dies.
The best description that can denote joint tenancy that two or more people own a property equally. So, the correct option that matches the above statement is A.
Joint tenancy refers to the condition where at least two people jointly hold, acquire or possess the benefits of a property under their name in proportion as may be determined.
The joint ownership is a condition where at least two people are required to make contracts of owning, buying, renting, leasing or selling such property in an equal proportion.The ratio of ownership in case of a joint ownership of a property where the benefits are shared equally is 1:1. One partner will share the benefits and bear losses equally in proportion of the other owners.There exists a relationship of vicarious liability in case of a joint tenancy which refers that one partner will be liable for the acts of the other partner(s).Hence, the correct option is A that the best example of a joint tenancy is when two or more people own a property equally.
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TDP (or Total Distribution Points) are
Total Distribution Points is a statistic used in the direct selling sector to calculate commisions paid to distributors based on their own and their downline organization's sales performance.
The TDP is a point value that a distributor assigns to each good or service they offer. Based on the product's wholesale price, the corporation determines the worth of each good or service. The sum of the TDP values for each good or service sold by the distributor and their downline organisation over a specific time period constitutes the total TDP for that time.
The TDP is used in the calculation of commissions and bonuses earned by distributors, and is often used in conjunction with other performance metrics such as Personal Volume (PV) and Group Volume (GV) to determine a distributor's rank and earnings potential within the organization.
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What is the primary goal of blogs written for organizations and aimed at external audiences?.
The main motive or the primary goal of a blog, which is written for organizations and is aimed at external audience, is to create effective public relations.
What is a blog?A textual form of an article, which is written in a way that not formal, whereas, it builds a conversation between the blogger and the reader, are known as blogs.
Hence, the significance of blogs is aforementioned.
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To increase revenue, a company could
O A. refuse to accepts checks
O B. accept only debit card purchases
O C. allow customers to pay with credit
OD. allow only cash purchases
A company could C. allow customers to pay with credit, which would boost revenue.
How Do You Accept Credit Cards?Keeping a close eye on cash flow is essential when running a small business. Including credit cards as a payment option is one way to make it easier for money to flow into and out of your business. Providing credit card payment options to customers can cut down on the stress of managing cash flow and reduce the amount of time spent waiting for checks. If your company does not yet accept credit card payments, it may be simpler than you think to do so.
There are a number of benefits to offering credit card payment options to your customers that could help your business grow. Accepting credit cards has numerous advantages, as stated by the National Federation of Independent Businesses.
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Which situation best illustrates the effects of inflation?
A. A factory lowers its employees' wages to $8 per hour.
B. A restaurant owner sells her business for $200,000,
C. The cost of rice at a market rises by 20 percent over three years.
O
D. An entrepreneur receives a $10,000 loan from a bank.
Answer: C: The cost of rice at a market rises by 20 percent over three years.
Explanation:
inflation is a measure of the rate of rising prices of goods and services in an economy.
The cost of rice at a market rises by 20 percent over three years best illustrates the effects of inflation. The correct option is C.
What causes inflation?As household incomes improve as a result of more jobs and higher earnings and an increase in consumer spending, the potential for price increases by businesses to raise the cost of their goods and services increases. The result is a spike in inflation when it occurs across a wide range of industries and businesses.
Inflation refers to the general increase in prices of goods and services in an economy over time. Therefore, situation C best illustrates the effects of inflation, as the cost of rice at a market rises by 20 percent over three years. This means that the same amount of money will buy less rice over time, which is an example of the erosion of purchasing power due to inflation.
Therefore, option C, "The cost of rice at a market rises by 20 percent over three years," is the most accurate answer.
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Which is a common factor used in calculating gross domestic product (GDP)?
A. market share
B. profit margins
C. number of available workers
D. consumer spending
The most popular approach for determining a nation's GDP is the spending method. With this approach, net exports, government spending, investment, and consumer spending are totaled.
Although the GDP can be broken down in many different ways, the most popular is to see it as the total of a nation's private consumption, investment, government spending, and net exports (or exports less imports).
The total private and public consumption, government expenditures, investments, increases in private inventories, paid-in building expenses, and the foreign balance of trade are all included in the computation of a nation's GDP. (Imports are deducted from the amount while exports are added.)
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Your firm is considering an investment that will cost $920,000 today. The investment will produce cash flows of $450,000 in year 1, $270,000 in years 2 through 4, and $200,000 in year 5. The discount rate that your firm uses for projects of this type is 11.25%. What is the investment's net present value
Based on the information given the investment's net present value is $192,369.06.
Using this formula
Net Present Value(NPV)=-Initial cost+ Cash flow during time period/(Discount rate+ Cash flow time)
Let plug in the formula
NPV=-920,000+450,000÷(1+0.1125)^1+270,000÷(1+0.1125)^2+270,000÷(1+0.1125)^3+200,000÷(1+0.1125)^4
NPV=-920,000+450,000÷(1.1125)^1+270,000÷(1.1125)^2+270,000÷(1.1125)^3+200,000÷(1.1125)^4
NPV=$192,369.06
Inconclusion the investment's net present value is $192,369.06.
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You have a startup company that is not particularly well known. Your annual sales at the end of year 1 are $100,000. Due to hard work, however, you expect that your sales will grow by 25% every year. What type of cash flow is this? Irregular Series Gradient Series Geometric Series Uniform Series
The cash flow described in this scenario is a geometric series characterized by a constant growth rate of 25% each year.
The type of cash flow described in this scenario is a geometric series. A geometric series is a sequence of numbers in which each term is obtained by multiplying the previous term by a constant ratio. In this case, the annual sales are expected to grow by 25% each year, which means the sales for each subsequent year will be 1.25 times the previous year's sales.
The annual sales of $100,000 at the end of year 1 serve as the starting point, and by applying the growth rate of 25% (or 1.25), we can calculate the sales for each subsequent year. The sales for year 2 would be $100,000 x 1.25 = $125,000, for year 3 it would be $125,000 x 1.25 = $156,250, and so on.
This pattern continues indefinitely, with each year's sales being 25% higher than the previous year. A geometric series is characterized by its constant ratio between consecutive terms, making it suitable for modeling scenarios with consistent growth rates over time.
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What should you, the worker, be aware of with regard to evacuation procedures at your workplace?
(select two answers)
(a) when you get back into the building
(b) evacuation plans
(c) what to do when the emergency has passed
(d) how long the emergencies will last
With regard to evacuation what one has to be aware of would be
evacuation planshow long the emergencies will lastWhat is meant by evacuation?This is the term that is used to refer to all that would have to be done in order to get all the occupants of a building out of it due to an emergency that is occurring in the building. The need for evacuation is often due to emergency that could cause a loss of life. An example of such incidence would during a fire outbreak.
Hence we can say that With regard to evacuation what one has to be aware of would be
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Molzahn Corporation is a manufacturer that uses job-order costing. The company closes out any overapplied or underapplied overhead to Cost of Goods Sold at the end of the year. The company has supplied the following data for the just completed year:
Estimated total manufacturing overhead at the beginning of the year $481,250
Estimated direct labor-hours at the beginning of the year 35,000 direct labor-hours
Results of operations:
Actual direct labor-hours 40,000 direct labor-hours
Manufacturing overhead:
Indirect labor cost $ 179,000
Other manufacturing overhead costs incurred $ 465,000
Answer:
The results are below.
Explanation:
First, we need to calculate the predetermined overhead rate:
Predetermined manufacturing overhead rate= total estimated overhead costs for the period/ total amount of allocation base
Predetermined manufacturing overhead rate= 481,250 / 35,000
Predetermined manufacturing overhead rate= $13.75 per direct labor hour
Now, we allocate overhead based on actual hours:
Allocated MOH= Estimated manufacturing overhead rate* Actual amount of allocation base
Allocated MOH= 13.75*40,000
Allocated MOH= $550,000
Finally, the under/over applied overhead and the closing to cost of goods sold:
Under/over applied overhead= real overhead - allocated overhead
Under/over applied overhead= 644,000 - 550,000
Underapplied overhead= $94,000
When overhead is underapplied, we need to debit the cost of goods sold.
COGS 94,000
Manufacturing overhead 94,000
Investment 2 Study questions Practice Questions: 1. On January 1, Stacy's portfolio was valued at $96,534. During the year Stacy received $3,285 in interest and $4,100 in dividends. She also sold one stock at a gain of $850. The value of the portfolio on December 31 of the same year was $113,201. At the end of June, Stacy withdrew $5,000 from the portfolio. What is the holding period return for the year? (refer slides for the formula) Sol: 25. 8% 2. Six months ago, Suzanne purchased a stock for $28 a share. Today she sold the stock at a price of $32 a share. During the time she owned the stock, she received a total of $1. 30 in dividends per share. What is her holding period return? Sol: 18. 9% 3. On January 1, Tim's portfolio was valued at $432,098. During the year Tim received $10,563 in interest and $15,060 in dividends. He also sold stock at a net loss of $12,870 and used the proceeds to purchase another stock. Tim did not contribute any more funds nor withdraw any funds during the year. On December 31 of the same year, Tim's portfolio was valued at $398,189. What is the holding period return for the year? Sol: -1. 9%
The holding period return for Stacy's portfolio for the year is 25.8%. The holding period return for Suzanne's stock is 18.9%.Tim's holding period return for the year is -4.67%, indicating a negative return.
Holding Period Return = [(Ending Value - Beginning Value) + Dividends + Gain] / Beginning Value
In Stacy's case, the beginning value of her portfolio on January 1 was $96,534, and the ending value on December 31 was $113,201. She received $3,285 in interest, $4,100 in dividends, and had a gain of $850 from selling a stock. She also withdrew $5,000 at the end of June.
Holding Period Return = [($113,201 - $96,534 + $3,285 + $4,100 + $850) - $5,000] / $96,534
= ($24,902 + $4,100 + $850 - $5,000) / $96,534
= $24,852 / $96,534
= 0.257 or 25.8%
Therefore, the holding period return for Stacy's portfolio for the year is 25.8%.
Holding Period Return = [(Ending Value - Beginning Value) + Dividends] / Beginning Value
In Suzanne's case, the beginning value of the stock was $28 per share, and the ending value was $32 per share. She received $1.30 in dividends per share.
Holding Period Return = [($32 - $28) + $1.30] / $28
= ($4 + $1.30) / $28
= $5.30 / $28
= 0.189 or 18.9%
Therefore, Suzanne's holding period return for the stock is 18.9%.
In the case of Tim's portfolio, the holding period return for the year is -1.9%.
Tim's portfolio had an initial value of $432,098 on January 1 and a value of $398,189 on December 31. He received $10,563 in interest and $15,060 in dividends. However, he sold stock at a net loss of $12,870 and used the proceeds to purchase another stock. Tim did not contribute any additional funds or make any withdrawals during the year.
Holding Period Return = [(Ending Value - Beginning Value) + Dividends + Gain] / Beginning Value
= [($398,189 - $432,098) + $10,563 + $15,060 + (-$12,870)] / $432,098
= (-$33,909 + $10,563 + $15,060 - $12,870) / $432,098
= -$20,156 / $432,098
= -0.0467 or -4.67%
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What interest rate is needed for $9,500 to earn $900 in 19 months? round to the nearest hundredth of a percent.
Answer:
so what does that mean. ??
Which of the following students is most likely to receive a merit-based scholarship?
A.
a student from a low-income family
B.
a student with a delinquency record
C.
a student from a political family
D.
a student with a high academic score
E.
a student from a middle-income family
Answer:
D
Explanation:
What are the 4 main types of orders in stock market?
The 4 main types of trade order in stock market are:
Market orderLimit orderStop orderStop limit orderStock Market or Trade Order refers to the instrcution given by an investor to his broker to buy or sell the investor's share or security on his behalf through a trading platform.
Market order refers to an order to buy or sell shares immediately without any guaranteee on the execution price. Market order will be executed at or near the current bid or ask price. A broker will buy or sell an investor's shares at the current market price and does not control the amount paid for the share purchased or sale.
Limit order refers to an order to buy or sales of stock at a specific set of price or better. Limit order allows an investor to buy or sell shares at his desired price and avoid purchasing or selling price at his undesired price. Limit order will only be executed if the market price in line with the limit oder price. Limit order might come in a form of buy limit or sell limit orders.
Stop order would be executed if the price market reaches the specific desired price, or stop price. Stop order will trigger market order once the market price reaches the stop price. Stop market is used to avoid larger losses or to lock in profits.
Stop-limit order refers to a conditional order that requires placing two prices - the stop price and the limit price. Stop-limit order will trigger limit order when the stock hits the stop price. Stop-limit order will guarantee a price limit and guarantees an order execution but not necessarily at the stop order price.
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How is the following scenario counted for the purposes of determining GDP? Mike buys a new house on a cul-de-sac
The purchase of a new house by Mike on a cul-de-sac is counted in the calculation of GDP as part of the investment component. It is considered a capital investment because the house is a durable good that is expected to provide economic benefits over a long period of time.
The purchase of the house is included in the Gross Private Domestic Investment (GPDI) category of GDP, which includes all expenditures made by businesses and households for new construction, machinery, equipment, and changes in inventories.
The purchase of a new house adds to the stock of physical capital in the economy and contributes to the long-term economic growth. However, it is important to note that the value of the house is only counted once in GDP, at the time of its initial purchase, and not in subsequent years.
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explain advertisement
Answer: Advertisement is a marketing communication. It is used to promote businesses and their products. Used to promote more effectiveness in a businesses profit and their sales. May be seen in the form of commercials or billboard announcements in everyday life.
Jean-Baptiste Say thought that entrepreneurs should be considered a fourth factor of production. Do you agree or not? Explain your reasoning.
Answer: i do agree
Explanation: they are a factor because they help the economy in the same ways as the other factors of production
Jean-Baptiste Say thought that entrepreneurs should be considered a fourth factor of production. The given statement is true. Because of the economy in the same ways as the other factors of production.
What is the economy?An economy is a collection of interconnected production and consumption processes that ultimately decide how resources are distributed within a community. The demands of persons who live there and conduct business there are met by the production and consumption of goods and services as a whole.
The traditional economy, which uses a country's traditions and history to direct the production and distribution of goods, is a well-known illustration of an economy. The main pillars of traditional economies are agriculture, fishing, and hunting.
Entrepreneurs should be considered a fourth factor of production labor, capital, natural resources, and entrepreneur.
Therefore, By the given statement(Jean-Baptiste Say thought that entrepreneurs should be considered a fourth factor of production) was true.
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