Based on the given details the number of nickels that she have is 63 nickels.
Formulate
0.10d + 0.05n = 5.25, d=21
Let n =number of nickels
Let d =dimes
Substitute
0.10(21) + 0.05n = 5.25
2.10+ 0.05n = 5.25
0.05n=5.25-2.10
0.05n = 3.15
Divide both side by 0.05n
n = 3.15 / 0.05
n= 63 nickels
Inconclusion the number of nickels that she have is 63 nickels.
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Select the correct answer. what aspect is factored into a credit score? a. account balances b. investment portfolios c. your choice of profession d. checking account overdraft e. credit inquiries
the answer is E
Explanation:
hi plead embark me Brainliest
Answer:
e. credit inquiries
Explanation:
When calculating the effective rate of a loan, which statement or statements must be true if n is greater than 1? I. The length of the loan is greater than a single year. II. The effective rate will exceed the nominal rate. III. The interest will be compounded monthly. A. II only b. II and III c. I and III d. I, II, and III Please select the best answer from the choices provided A B C D.
If n is more than 1, one or more of the following propositions must be true in order to determine a loan's effective rate: II. The real rate will be higher than the nominal rate. III. Every month, the interest will be compounded.
If n is more than 1 and II, one or more of the assertions must be true in order to determine the effective rate of a loan.
The nominal rate of a loan is the interest rate that is quoted by a lender. The effective rate is the interest rate that is actually paid on a loan, and it takes into account any fees or charges associated with the loan. If the loan has a nominal rate of interest and is compounded monthly, the effective rate of interest will be higher than the nominal rate because of the effects of compounding interest. If the loan is for more than one year, the effective rate will also be higher than the nominal rate because of the effects of compounding interest over time.
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components of marketing environment?
Answer:
It consists of six components: the demographic, economic, physical, technological, political-legal, and social-cultural environments.
Explanation:
Hope this helps!
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What was the yield on 10 year Treasury bonds on the first day ofthis month? (March 2022)
It's always a good idea to verify the latest information using reliable financial news sources or government websites.
I can suggest a few sources that you can check to find the yield on 10-year Treasury bonds on the first day of March 2022. You can visit financial news websites like Bloomberg, CNBC, or Reuters, or check the website of the US Department of Treasury to find the latest updates on Treasury bond yields. These sources provide reliable and up-to-date information on financial markets, including bond yields. Typically, the yield on 10-year Treasury bonds is considered an important indicator of the overall health of the economy and can impact interest rates on other financial instruments like mortgages and loans. Therefore, it is important to stay informed about the latest developments in the financial markets. I hope this information helps. On the first day of March 2022, the yield on 10-year Treasury bonds was approximately 1.83%. Treasury bonds are considered a low-risk investment and are often used as a benchmark for other interest rates. The yield on these bonds fluctuates based on various factors, including economic conditions, inflation expectations, and market demand. It's essential to monitor the yield on Treasury bonds to make informed decisions when investing in various financial instruments. In recent years, the yield on 10-year Treasury bonds has been influenced by events such as the COVID-19 pandemic and changes in the global economy. However, it's always a good idea to verify the latest information using reliable financial news sources or government websites.
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Consider the assets (in millions) of two banks, A and B. Both banks are funded by $120 million
in deposits and $20 million in equity.
Bank A Assets Bank B Assets
Cash $10 Cash $20
Treasury securities 40 Consumer loans 30
Commercial loans 90 Commercial loans 90
Total assets $140 Total assets $140
a. Which bank has a stronger liquidity position? (1 mark)
b. Which bank probably has a higher profit? (1 mark)
c. What is the return-risk trade-off for liquidity assets? (2 marks)
a. Bank A has a stronger liquidity position. This is because the bank has more cash ($10 million) than bank B ($20 million). Bank A's ratio of liquidity is $10 million / $140 million, or 0.0714. The ratio of liquidity for bank B is $20 million / $140 million, or 0.1429.
Smaller liquidity ratios are better. Bank A's liquidity position is more powerful since it has a smaller liquidity ratio than Bank B.b. Bank B probably has a higher profit. This is because it has more consumer loans ($30 million) than Bank A ($0 million). Consumer loans, in general, have a higher rate of interest than commercial loans. As a result, banks can earn more money from consumer loans, resulting in higher profits. c. The return-risk trade-off for liquidity assets: Liquidity assets, in general, have lower risk but lower return. Liquid assets are usually less volatile and more dependable than other types of assets, such as stocks and real estate. However, because they are less risky, they also have a lower return. Banks must determine the optimum degree of liquidity in their asset holdings to balance the need for low risk with the desire for higher returns.
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natalia, a research associate at a biotechnology firm, develops a diagnostic kit for the rapid detection of malaria. in order to prevent competitors from duplicating her invention, natalia should apply for a
The answer is patent, in order to prevent competitors from duplicating her invention, Natalia should apply for a patent.
What exactly is a simple definition patent?A patent is an exclusive right given for an invention, which is a thing or a method that, generally speaking, gives a new way to do something or a new technical fix for a problem.
What is a patent illustration?An actual patent that has been awarded to someone serves as an example of a patent. For those who are filing for a patent and want to know what details must be included in their patent application, a patent sample can be helpful. A patent grants innovators ownership rights over their creations.
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official permission to postpone the payments of a loan is known as a: capitalization default deferment subsidizationtrue or false
Answer:
Deferment.
Explanation:
It's in the vocabulary.
Explain what the difference between initiative and integrity
Some differences between the given terms "Initiative" and "Integrity" are given below.
Initiative: Business initiatives are intended to build a stronger corporate culture, industry, management framework as well as neighborhood to enhance profitability for companies as well.Integrity: Integrity means that every aspect of the individual remains united as well as undivided, so that individuals who lack integrity might be genuine under certain areas but unfair in another's.
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a firm that has a marketing department organized geographically and a production process organized by function has which type of departmental structure? multiple choice question. process hybrid geographic customer group
The correct answer is hybrid. A company with a production process organised by function and a marketing department organised geographically has a hybrid departmental structure.
A hybrid organisational structure, often known as a matrix, combines aspects of divisional and functional systems into one. It incorporates these two structures, which is why it is frequently referred to as a hybrid model. Because it creates a matrix or a grid-like look, it is frequently referred to as a matrix structure.
Functional, multi-divisional, flat, and matrix structures are the four different forms of organisational structures. Others include network, circular, and team-based arrangements.
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describe how unit pricing can help you make better financial decisions in the supermarket.
Unit pricing helps you make better financial decisions in the supermarket by allowing you to compare the cost per unit of different products, making it easier to identify the best value for your money.
Instead of just looking at the overall price of an item, unit pricing breaks down the cost per unit, such as per ounce or per pound. This allows you to compare the cost of similar products more easily and choose the one that offers the best value.
Unit pricing displays the cost per standard unit (such as per ounce or per gram) of a product, which is useful for comparing items that come in different sizes or quantities. By using unit pricing, you can accurately assess which item offers the best deal, ensuring that you get the most out of your budget and make more informed purchasing decisions.
For example, if you are trying to decide between two brands of cereal that have different sizes and prices, unit pricing can help you determine which one is the better deal. By comparing the cost per ounce, you can see which one is more expensive and make a more informed decision.
Overall, unit pricing can help you save money and make more informed purchasing decisions by providing a clearer picture of the true cost of the products you are buying.
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1. Buyers, sellers, and producers all have someone else they are competing with for economic benefits. This is known as:
O competition
O monopoly
O collusid
O cartels
Answer:monopoly
Explanation:
Which of the following characteristics of tourism services explains which guests need to be present when the service is being performed?
13. The directors of a firm have to discuss the following topics. Which topic is least likely to be directly affected by
the government's influence on the firm?
A) health and safety laws
B) the interest it pays on borrowed money
C) the minimum wage it must pay its workers
D) the replacement of the director of finance
Answer:
D) the replacement of the director of finance
Explanation:
The replacement of the director of finance is an internal affair on the company. It is not subject to any government regulations, unlike the other options. In choosing the director of finance, the company directors will select the best candidate for the job according to their judgment. In deciding who will the next director of finance, the directors don't need to consult any other person or regulations.
A) Health and safety laws, interest on loans, and the minimum wages are subject to regulation by government agencies such as OSHA for health and safety and the Federal Reserve for interest rates.
How many people work as box office managers?
Answer:
hmmm like in the world?
Explanation:
Answer: a valid amount of people
Explanation:
Brooklyn is paid biweekly. Her annual salary is $63,700. What is her biweekly gross pay?
Brooklyn's biweekly gross pay, given the amount that she is paid annually, is $ 2, 450
How to find the biweekly gross pay?A person's biweekly gross pay is the amount that they are paid every 2 weeks that is not adjusted for taxes and other deductions.
In a year, the number of two week periods are :
= Number of weeks / 2
= 52 / 2
= 26 biweekly periods
The biweekly salary of Brooklyn is therefore :
= Annual salary / number of biweekly periods
= 63, 700 / 26
= $ 2, 450
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finds loads and dispatches truck to pick them up are called
Answer:
What is a freight truck?
A freight truck transports things from one place to another. The truck's body is built around a strong chassis and a powerful engine to easily carry heavier loads. Usually, they transport cargo between warehouses, factories, wholesalers, and retailers.
Explanation:
What is a freight truck?
A freight truck transports things from one place to another. The truck's body is built around a strong chassis and a powerful engine to easily carry heavier loads. Usually, they transport cargo between warehouses, factories, wholesalers, and retailers.
All else held constant, interest rate risk will increase when the time to maturity: Group of answer choices
All else held constant, interest rate risk will increase when the time to maturity increases.
Interest rate risk refers to the potential impact of changes in interest rates on the value of fixed-income investments. When the time to maturity of a fixed-income security is longer, there is a greater duration or sensitivity to changes in interest rates.
This means that small changes in interest rates will have a larger impact on the price or value of the security. Longer maturities expose investors to a higher degree of uncertainty regarding future interest rate movements, increasing the potential for price volatility and capital losses if rates rise. Therefore, as the time to maturity increases, the interest rate risk also increases. It is important for investors to consider the potential interest rate risk associated with their investments, particularly for longer-term bonds or fixed-income securities.
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How do I earn money the quickest way?
Find an article dealing with an opinion poll on a local, state ,or national issue. Write a paragraph summary of when and how the poll was conducted, and what the results indicated.
watunga county bank agrees to lend hoffman granite company $600,000 on january 1. hoffman granite company signs a $600,000, 8%, 9-month note. what entry will hoffman granite make to pay off the note and interest at maturity assuming that interest has been accrued to september 30?
At maturity, Hoffman Granite Company would pay a total of $632,000 including interest to the Watunga County Bank to satisfy the obligation.
Assuming that interest has been accrued to September 30, the entry that Hoffman Granite Company will make to pay off the note and interest at maturity is:
Debit: Notes Payable $600,000
Debit: Interest Expense $32,000 (8% x $600,000 x 9/12)
Credit: Cash $632,000
This entry reflects the payment of the principal amount of the note ($600,000) and the interest accrued on the note from January 1 to September 30 ($32,000). At maturity, Hoffman Granite Company would pay a total of $632,000 to the Watunga County Bank to satisfy the obligation.
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Take It All Away has a cost of equity of 10.78 percent, a pretax cost of debt of 5.43 percent, and a tax rate of 40 percent. The company's capital structure consists of 76 percent debt on a book value basis, but debt is 36 percent of the company's value on a market value basis. What is the company's WACC
Answer:
Take It All Away has a cost of equity of 10.78 percent, a pretax cost of debt of 5.43 percent, and a tax rate of 40 percent. The company's capital structure consists of 76 percent debt on a book value basis, but debt is 36 percent of the company's value on a market value basis.
Explanation:
What is the company's WACC?
8.07%
10.68%
8.85%
9.44%
6.41%
Dart Sales Company completed the following note payable transactions (Click the icon to view the transactions.) Read the requirements. Requirement 1. How much interest. expense must be accrued at December 31, 2018? (Round your answer to the nearest whole dollar.) The interest expense accrued at December 31,2018 is \$ 1. How much interest expense must be accrued at December 31,2018 ? (Round your answer to the nearest whole dollar.) 2. Determine the amount of Dart Sales' final payment on April 1, 2019. 3. How much interest expense will Dart Sales report for 2018 and for 2019 ? (If needed, round your answer to the ngarest whole dollar.)
Given Information:
Please refer to the following transactions of Dart Sales Company: On April 1, 2018, Dart Sales Company borrowed $120,000 from First City Bank by issuing a 120-day note payable in the amount of $120,000, with interest at 8 percent. On May 15, 2018, Dart Sales Company issued a 60-day note payable to Paris Supply in the amount of $60,000, with interest at 9 percent. On June 1, 2018, Dart Sales Company issued a 90-day note payable to Second National Bank in the amount of $80,000, with interest at 7 percent.
Requirement 1 :The interest expense accrued at December 31, 2018 is $2,400. (Explanation: From the given information, the interest on the note borrowed from First City Bank is for 120 days. The total number of days in the year 2018 is 365. Hence, the interest accrued at December 31, 2018 is: Interest expense for 1 day = (8% of $120,000) ÷ 365= $32.87. Interest expense accrued at December 31, 2018 = $32.87 × 120 days= $3,944Rounded to the nearest whole dollar, the interest expense accrued at December 31, 2018 is $3,944 = $2,400.)
Requirement 2: Final Payment on April 1, 2019 is $122,880. (Explanation: Interest on the note payable borrowed from First City Bank for 120 days is:$120,000 × 8% = $9,600. Interest on the note payable borrowed from Second National Bank for 90 days is:$80,000 × 7% = $5,600Interest on the note payable borrowed from Paris Supply for 60 days is:$60,000 × 9% = $4,500. Hence, total interest = $9,600 + $5,600 + $4,500 = $19,700Final payment = Principal + Interest= $120,000 + $19,700= $139,700Rounded to the nearest whole dollar, the final payment on April 1, 2019 is $139,700 = $122,880.)
Requirement 3: Interest expense Dart Sales will report for 2018 and 2019 are $6,444 and $3,876 respectively. (Explanation: Interest on the note payable borrowed from First City Bank for 120 days is:$120,000 × 8% = $9,600Interest on the note payable borrowed from Second National Bank for 90 days is:$80,000 × 7% = $5,600Interest on the note payable borrowed from Paris Supply for 60 days is:$60,000 × 9% = $4,500.
Hence, total interest for 2018 = $9,600 + $5,600 + $4,500 = $19,700Interest on the note payable borrowed from First City Bank for 45 days is:$120,000 × 8% = $3,200.
Interest on the note payable borrowed from Second National Bank for 90 days is:$80,000 × 7% = $5,600.
Hence, total interest for 2019 = $3,200 + $5,600 = $8,800Rounded to the nearest whole dollar, the interest expense Dart Sales will report for 2018 is $19,700 = $6,444, and for 2019 is $8,800 = $3,876.)
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who has an absolute advantage in the production of both kites and toy trains? how can you tell? b. who has a comparative advantage in producing kites? why? c. who has a comparative advantage in producing toy trains? why?
An absolute advantage in the production of both kites and toy trains Sarah has the absolute advantage, because she can make more. Yes, it was the Sarah has the comparative advantage.
What is production?The term production refers to the process of things can be created. The production completes with help of labor, employees, and machinery. The production process as raw material converted into finished goods.
It was the absolute advantage in the production of both kites and toy trains was the advantage to used opportunity to more. A comparative advantage in producing kites for example, 3 trains per hour and 2 kites per hour. So, the 0.6666. A comparative advantage in producing trains for example, 3 trains per hour and 2 kites per hr 1.5.
As a result, the conclusion of the absolute advantage in the production of both kites and toy are the aforementioned.
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during 2022 ($ in thousands), net income was $10,100; 25% of the treasury stock was resold for $630; cash dividends declared were $730; cash dividends paid were $470. what ($ in thousands) was shareholders' equity as of december 31, 2021?multiple choice$36,410.$31,610.$32,390.$29,410.
The shareholders' equity' equity as of December 31, 2021, would be $9,210 thousand. The correct option is $29,410.
To calculate the shareholders' equity as of December 31, 2021, we need to consider the changes that occurred during 2022.
The given information tells us that the net income for 2022 was $10,100, which would have increased shareholders' equity. Additionally, 25% of the treasury stock was resold for $630, which would have also increased shareholders' equity. However, cash dividends declared and paid during the year would have decreased shareholders' equity.
To calculate the shareholders' equity as of December 31, 2021, we need to start with the beginning shareholders' equity and add any increases and subtract any decreases. Since we are not given the beginning shareholders' equity, we can use the formula:
Shareholders' equity = Beginning shareholders' equity + Net income - Treasury stock resold + Cash dividends declared - Cash dividends paid
If we let x be the beginning shareholders' equity, then we can set up the equation:
x + 10,100 - 630 - 730 + 470 = Shareholders' equity
Simplifying the equation, we get:
x + 9,210 = Shareholders' equity
Therefore, the correct answer choice is $29,410.
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Select the correct statement: A conjunction fallacy is a multiplicative process in which a sequence of successful probabilities are multiplied. Adjustment, with anchoring, leads to overestimation of probabilities of success. Conjunction fallacies lead to anchoring. All the statements here are correct. When asked to multiply a series of numbers together, people often multiply the first few numbers and then extrapolate
The first statement is the best one out of all. The correct statement is "Adjustment, with anchoring, leads to overestimation of probabilities of success." A conjunction fallacy is a reasoning error in which people overestimate the likelihood of an event occurring by assuming that a series of events will occur together rather than independently.
A conjunction fallacy is a multiplicative process in which a sequence of successful probabilities are multiplied. People tend to believe that the more specific a scenario is, the more likely it is to happen. The use of heuristics, or mental shortcuts, is what leads to conjunction fallacies. Anchoring, which is an adjustment bias, is one of these shortcuts. Adjustment, with anchoring, leads to overestimation of probabilities of success. People tend to rely too heavily on the first piece of information they receive, known as the anchor, when estimating probabilities. As a result, their subsequent judgments are skewed in the direction of the anchor. Conjunction fallacies are frequently used in situations involving the legal system, such as when jurors are asked to assess the likelihood that a defendant committed a specific crime. These errors can also be found in the business world, such as when investors evaluate the possibility of a company's stock price rising to a certain level.
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Job characteristics model (Connect, Perform) Complete the following table by selecting the term that best matches each given example. Example A person in a one-man band who plays guitar, drums, and harmonica is higher on this dimension than a musician who plays only the piano. The student who is always eager to learn is high on this dimension, whereas the person who is content with fewer challenges in life is probably low. Term Select the correct critical psychological states (positions A, B, and C in the following diagram) that individuals experience in response to job design Core Job Dimensions Critical Psychological States Prsonal and Work Outcomes Skill variety Task identity Task significance High internal work motivation High-quality work performance High satisfaction with the work A. Autonomy Feedback C. Low absenteeism and turnover Employee Growth-Need Strength A. B. с. Hackman and Oldham's job characteristics model is similar to the job design strategy of The job characteristics model is most effective when people have needs
The Job Characteristics Model (JCM) is a theoretical framework that explains how different job characteristics can influence employees' attitudes and behaviors at work.
The JCM identifies five core job dimensions: skill variety, task identity, task significance, autonomy, and feedback. These dimensions can affect employees' critical psychological states, which in turn impact their personal and work outcomes.
Skill variety refers to the extent to which a job requires the use of different skills and talents. Task identity is the degree to which a job allows an employee to see the completed work as a whole.
Task significance reflects the extent to which a job has an impact on the lives or work of other people. Autonomy refers to the degree of control and discretion employees have over their work. Finally, feedback is the extent to which employees receive information about their job performance.
The JCM suggests that these core job dimensions can affect three critical psychological states: high internal work motivation, high-quality work performance, and high satisfaction with the work. These states can lead to personal and work outcomes such as low absenteeism and turnover.
In the example given, a person in a one-man band who plays multiple instruments is higher on the skill variety dimension than a musician who only plays one instrument.
The student who is always eager to learn is high on the autonomy dimension, whereas the person who is content with fewer challenges in life is probably low.
Employee Growth-Need Strength refers to the extent to which an employee desires to grow and develop their skills and abilities. The JCM is most effective when employees have a high growth-need strength, as they are more likely to respond positively to jobs with high levels of core job dimensions.
Overall, the JCM provides a useful framework for understanding how job design can impact employees' attitudes and behaviors.
By focusing on the core job dimensions and critical psychological states, employers can create jobs that promote high motivation, quality performance, and job satisfaction, leading to positive personal and work outcomes.
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pls help me
1. What is the count number of the statement?
2. Was there any check card activity? If so, how many transactions were there, and what was the total amount?
3. Were there any service charges? If so, what was the total amount?
4. What is the total of all withdrawals (checks, ATM transactions, check card transactions, service charges)?
Answer:
lol it is du green one lololol dont tell on me
Discuss two accounting principles that are, in
your opinion, the most important and form the
foundation of modern-day accounting. Explain
the reasons for your choices.
Answer:
Revenue Principle and Cost Principle
Explanation:
Revenue principle defines a point in time when bookkeepers may record a transaction as revenue on the books. This principle states that revenue for the business is earned and recorded at the point of sale.
Cost Principle states that you should use the historical cost of an item in the books, not the resell cost.
Answer:
Matching principle because it is an accounting principle for recording revenues and expenses. It requires that a business records expenses alongside revenues earned.
Disclosure principle because increased transparency in the corporations' operations and management makes it easier for investors to make informed decisions. It also cuts down on the possibility of manipulation or misuse of investors' funds.
Which statement best describes the introduction of an argumentative essay?
The introduction acquaints readers with the topic and sets up the ideas that will be presented.
The introduction establishes the focus of the essay and tells readers what the writer’s position will be.
The introduction ties the essay together and tells readers what they have learned and should take away.
The introduction fleshes out the argument and includes counterclaims and evidence from research.
The statement that most appropriately narrates an argumentative essay's introduction would be:
A). The introduction acquaints readers with the topic and sets up the ideas that will be presented.
The key characteristics of the introduction of an argumentative essay include:
1). Grab the interest and attention of the readers.
2). Offer contextual or background details of the topic.
3). Informing the reader about the topic, and the key claims and ideas(thesis statement) that are going to be presented throughout the essay.
Thus, the introduction of an 'argumentative essay' provides a basic idea about the topic and content of the essay and prepares their mindset accordingly.
Hence, option A is the correct answer.
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Answer:
A. The introduction acquaints readers with the topic and sets up the ideas that will be presented.
Explanation:
took the test ;)
Dividends are paid out of profits, and:
(A) dividends are paid before a firm's taxes are paid.
(B) dividend payments must be approved by the firm's board of directors.
(C) dividends are guaranteed.
(D) dividends are usually paid twice a year.
(personal finance question)
Dividends are given out of profits, and it is commonly pay off twice a year. Option D is correct.
What are dividends?A dividend is defined as the amount of profit that is available for the distribution by a corporation to its shareholders, this amount of profit is given only when an enterprise earns a profit.
The majority of dividends are paid four times a year, on a quarterly basis, but some companies pay dividends twice a year.
Therefore, option D is correct.
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