The higher a company's plant assets to long-term liabilities ratio, the greater its borrowing capacity.
This statement is true.
What does Current Ratio indicate ?Greater liquidity is indicated by a larger current ratio.
The bigger a company's financial leverage and, thus, its risk and return, the higher its debt ratio.
What measures a company's ability to protect its long term creditors ?A company's capacity to fulfill its short- and long-term financial commitments is known as its solvency.
Solvency is one approach to show a company's ability to manage its operations into the near future, making it a crucial indicator of a company's financial health.
According to the given Information
A company's ability to borrow money increases with the ratio of its plant assets to long-term liabilities.
This statement is true.
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Toss a fair coin 2n times. You earn $1 for each heads, and lose $1 for cach tails. Calculate the probabilities of the following events: (a) (3 pts) Your net return is 0. (b) (3 pts) Your net return is. (c) (4 pts) Your net return is a multiple of 4. Please justify of your answer. (d) (Bomus problem) Your final net return is 0, and your net return is never negative during the whole game.
The binomial distribution formula calculates the likelihood of a net return of 0. Getting n heads and n tails in 2n tosses is (0.5)^(2n) * (2n select n).
Summing the probabilities of getting more heads than tails when n is greater than n gives the chance of a positive net return. The binomial distribution formula can compute the probability of n+1, n+2,..., 2n heads.
Consider scenarios where the difference between heads and tails is divisible by 4 to determine the likelihood of a net return being a multiple of 4. The difference is 0, 4, 8,..., 2n. Summarise each difference value's probabilities.
The bonus problem of having a final net return of 0 and never a negative net return throughout the game requires more complex computations. The probability may involve dynamic programming to consider all possible sequences of heads and tails that satisfy these constraints.
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Which is a good rule to follow when sending business emails? (1 point)
Answer:
Avoid forwarding spam and unnecessary messages such as chain letters.
Explanation: did the test
The good rule that must follow at the time of sending business emails is to avoid forwarding spam and unwanted texts like chain letters.
What is email?An email, is also called as the electronic mail. It is one of the most extensively employed features of the Internet, that is mostly used in the formal business organizations.
It allows a person to transport and acquire messages from nay person in the globe that has an email account. Within the TCP/IP suite, email uses a variety of protocols.
When sending business emails, a good tip to follow is to avoid forwarding spam and undesirable texts like chain letters.
Therefore, the use of formal languages and proper formats made the emails more accurate.
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define the term display work?
Both common stock and preferred stock allow shareholders voting rights in the company in which they have invested.
True
False
Answer:True
Explanation:
Which of the following groups of companies includes examples of merchandising businesses?
a. GameStop, Best Buy, Gap Inc.
b. GameStop, Sony, Dell
c. Gap Inc., Amazon, Nike Inc.
d. Delta Air Lines, Marriott, Gap Inc.
GameStop, Best Buy, and Gap Inc. groups of companies include examples of merchandising businesses. Thus, option A is correct.
What is a business?An innovative company or group that engages in professional roles is referred to as a business. They could be industrial, recreational, or something else.
Businesses that are for-profit operate to make a profit, whereas those that are nonprofit do so to further a philanthropic cause. Merchandising business is usually the one that includes various business like games top Best Buy. They provide various means to provide the business.
Therefore, option A is the correct option.
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Awake Photography Percentage Rent Retail Tenant
Tenant Size: 2,450 SF
Tenant's Rent: $13.00 /SF/Year
Sales %: 4
Sales Amount: $950,000
Nautral Breakpoint
Calculate the Percentage Rent
The percentage rent paid by the tenant is determined by the natural breakpoint.
This is the point at which the tenant’s sales exceed a certain percentage of the rent they are paying. In the above example, the tenant is paying $13.00/SF/Year, and their sales are $950,000. This means that the natural breakpoint is $950,000 / ($13.00/SF/Year) = 73,076 SF. The tenant is only 2,450 SF, so the tenant does not need to pay any percentage rent.
when the tenant’s sales exceed a certain percentage of the rent they are paying. The tenant pays an additional percentage of the sales that exceed the natural breakpoint. The percentage will depend on the terms of the lease, but it is typically between 2-5%. In this example, the tenant does not need to pay any percentage rent because they have not exceeded the natural breakpoint.
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Which sentence in the given text describes an element of the marketing mix that could help
John with sales?
John was working with his team on a product launch. He did some market research and
found some similarities between his product and those of the competitors.
(A) He knew that his product offered personalized service as part of the product
package, which was already done by some of his competitors
(B) The market was quite saturated and customers had plenty of options. The
advertising options that the competitors had were much more extensive than what
John could afford
(C) He knew that his cost of production was lower than that of his competitors, so he
could pass on some of those savings to his customers
(D) He chose to launch his product and display it at the same place where his
competitors sold their products
OB
ОА
OD
The sentence in the given text describes an element of the marketing mix that could help John with sale is He knew that his cost of production was lower than that of his competitors, so he could pass on some of those savings to his customers. Thus option C is correct.
What is marketing Mix?The marketing mix refers to the technique or model of any bsuiness that highlights important elements such as product, price, place, and promotion to make any business achieve its desired objective and seek growth.
These factors are affected any business growth so these factors are determined based on the needs and requirements of customers. In the given factors promotional mix plays a significant role as it influences customers to buy any product.
This marketing mix helps to identify customers' needs and to plan strategies to develop better customer reach. In the given option, all options provide elements of the marketing mix.
Option C helps john to improve his sales as it tells how to retain customers by engaging them effectively with the product and the brand offered.
Therefore, option C is appropriate.
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Question 25 1 points Save Answer What would be the price of a stock that pays an annual fixed dividend of $1.9 for ten years, and then the dividend payment increases by 19 every year, and the required rate of return is 5% annually?
The price of the stock that pays an annual fixed dividend of $1.9 for ten years, and then the dividend payment increases by $19 every year, and the required rate of return is 5% annually is $174.78.
The price of the stock that pays an annual fixed dividend of $1.9 for ten years and then the dividend payment increases by $19 every year and the required rate of return is 5% annually would be $174.78.The price of the stock that pays an annual fixed dividend of $1.9 for ten years is the present value of the annuity of $1.9 per year for ten years at a 5% interest rate. The formula for the present value of an annuity is given by: PV = Pmt × [1 – (1 + r/n)^(-nt)] / (r/n)Where Pmt = Payment per period n = Number of payments per year = Interest rate per year in decimals = a Total number of payments The payment per period is $1.9, the number of payments per year is 1, the interest rate per year is 5%, and the total number of payments is 10.
Substituting these values in the formula, we get: PV = 1.9 × [1 – (1 + 0.05/1)^(-1×10)] / (0.05/1)PV = 1.9 × [1 – (1.05)^(-10)] / 0.05PV = 1.9 × [1 – 0.37689] / 0.05PV = 1.9 × 12.55382PV = $23.85127The price of the stock that pays an annual dividend of $1.9 for the first ten years is $23.85.Now, the dividend payment will increase by $19 every year. So, the dividend in the 11th year will be $1.9 + $19 = $20.9, the dividend in the 12th year will be $20.9 + $19 = $39.9, the dividend in the 13th year will be $39.9 + $19 = $58.9, and so on. This is an example of a growing perpetuity. The present value of a growing perpetuity formula is given by: PV = PMT / (r – g)Where, PMT = Payment per period = Interest rate per year in decimals = Growth rate per year in decimalsSubstituting the values, we get: PV = 20.9 / (0.05 – 0.19)PV = 20.9 / (-0.14)PV = -$149.28
Now, we have to find the price of the stock that pays $20.9 per year in the 11th year and beyond. This is an example of growing perpetuity that is negative because the growth rate is higher than the required rate of return. We need to subtract this present value from the present value of the first ten years.PV of the stock = PV of the first ten years + PV of the growing perpetuityPV of the stock = $23.85127 - $149.28PV of the stock = -$125.43Finally, we add the two present values to get the price of the stock. P = $23.85127 - $125.43P = $174.78Therefore, the price of the stock that pays an annual fixed dividend of $1.9 for ten years, and then the dividend payment increases by $19 every year, and the required rate of return is 5% annually is $174.78.
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If the federal reserve increases the interest rate on bank deposits at the fed, banks will want to hold:.
Here is your answer:-
The Federal Reserve System is the central banking system of the United States of America. It was created on December 23, 1913, with the enactment of the Federal Reserve Act, after a series of financial panics led to the desire for central control of the monetary system in order to alleviate financial crises. Over the years, events such as the Great Depression in the 1930s and the Great Recession during the 2000s have led to the expansion of the roles and responsibilities of the Federal Reserve System.
what is the presumed era for the third stratum
The Presumed era of the Third Stratum is regarding the cognitive ability.
What is the 3 stratum theory?The American psychologist John Carroll introduced the three-stratum theory of cognition in 1993. It is based on a factor-analytic investigation of the association of individual-difference variables using data from more than 460 datasets, including information from psychological testing, academic performance, and competence assessments.
According to the three-stratum hypothesis, there are three categories into which individual variances in cognitive capacity may be divided: narrow, wide, and general.
Therefore, it can be concluded that Regarding cognitive capacity, the Third Stratum is assumed to have existed.
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Which of the following is best for targeted marketing tactics? Select one.
a. LinkedIn
b. Billboards
c. Radio commercials
d. Banners
Answer:
C
Explanation:
I think it is C because radio commercials seem WAY more convincing.
Let me know if it helps! :)
MAKE ME A KRABBY PATTY SO I CAN GIVE IT TO PLANKTON!!!
PLZ HELP FOR A TEST!!
The level of competition least beneficial to consumers is:
pure competition
monopoly
oligopoly
monopolistic competition
Answer:
monopoly
Explanation:
In a monopoly market, a single firm sells a product with no close substitutes in a large market. It means that the single firm has no business competitors in the market. Without competition, the firm has the power to set prices, quality, and quantity without worrying about how customers will react.
In a monopoly market, customers have no choice since competition is absent. Customers have to do with high prices, limited varieties, and limited innovation, unlike in market structures that have business competition. Competition results in increased innovation, quality products, and a variety of products at fair prices.
Answer:
Monopoly
Explanation:
I took the test
some investors are limiting their investments to securities (e.g., stocks and bonds) that coincide with their beliefs about ethical and social responsibility. this is called .
some investors are limiting their investments to securities (e.g., stocks and bonds) that coincide with their beliefs about ethical and social responsibility. this is called : social investing
Socially responsible investing (SRI), social investment, sustainable social consciousness, "green," or ethical investing is any investment strategy that aims to include both financial return and social/environmental benefit in order to bring about societal change that proponents view to be favourable. Socially aware investments usually make up a tiny part of the total amount of money that businesses invest and are challenging.
Recently, it has also been referred to as "sustainable investing" and "responsible investing." Another subset of SRI called "impact investing" focuses on the intentional creation of social impact through investment.
In general, socially responsible investors back corporate practises that they believe encourage racial or gender diversity, consumer protection, human rights, and environmental stewardship.
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Libel is a defamatory or hurtful remark told about someone to others, and slander is when this remark or comment is broadcast over the TV, radio, printed in a publication, or forwarded to others on the Internet.
Answer:
This is false.
Explanation:
The statement in the question interchange the meanings of the two terms. The correct definitions are therefore given as follows:
Libel is can be described as a written or published false statement about another person that damages their reputation unjustly.
Slander refers a spoken false statement about another person that damages their reputation unjustly.
Based on the definitions above, the statement in the question can be correctly rewritten as follows:
Slander is a defamatory or hurtful remark told about someone to others, and libel is when this remark or comment is broadcast over the TV, radio, printed in a publication, or forwarded to others on the Internet.
Answer:
FALSE
Explanation:
i got it right
A 3rd degree burn has burnt only part of the epidermis. the epidermis only. the epidermis and dermis. the epidermis and part of the dermis.
A 3rd degree burn has burnt the epidermis and part of the dermis. Option 3 is the correct answer.
A 3rd degree burn is a severe burn that extends through the entire thickness of the skin. In a 3rd degree burn, the epidermis, which is the outermost layer of the skin, and part of the dermis, which is the layer beneath the epidermis, are affected. This type of burn destroys the full thickness of the epidermis and can extend into the deeper layers of the dermis.
The epidermis serves as a protective barrier for the body, preventing the entry of harmful substances and pathogens. It also helps regulate body temperature and plays a role in the production of vitamin D. The dermis provides structural support, contains blood vessels, nerve endings, sweat glands, and hair follicles.
Due to the severity of the injury, 3rd degree burns often require medical intervention and specialized treatment. They can result in extensive tissue damage, loss of sensation, and impaired healing. Treatment may involve surgical interventions, such as skin grafting, to promote healing and minimize the risk of infection. Rehabilitation and long-term care are often necessary to manage the physical and psychological effects of a 3rd degree burn.
Hence, option 3 is the right choice.
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Erik's job is to negotiate the best price for his client, a retaller that sells high-end shoes. He approaches a shoe manufacturer with whom the retailer wants to carry out business. He tells the manufacturers that his client is willing to purchase 10 pairs of shoes of every size if they lower their price by 10 percent. What kind of intermediary is Erik?
A. distributor
B. consumer
C. wholesaler
D. broker
Answer:
D. broker
Explanation:
A broker is a person or a firm who organizes or arranges for financial transactions between two parties or more. A broker is an intermediary because they connect a willing seller to a willing buyer for a commission. Brokers do not take ownership of the products being transacted. They only create a link between buyers and sellers.
Erick is a broker. He acts on behalf of the retailer and connects them to the manufacturer.
Because Worldcom's accounting fraud was brought to an end with Cynthia Cooper's intervention,
WorldCom investor and employee losses were
Answer:
Explanation:
Less
Grace Jones was just hired as an accounting intern at your company. Can you assist Grace and identify which of the following statements is true? 14 Multiple Choice 8 OSAS When production and sales are equal net income will be greater under variable cosing that will be under absorption costing Under absorption conting some fed manufacturing costs are deferred in ending inventory production tower than a O Under absorption coning enly the towed mandectang con sociwie we venter produced cerpented Under luble coming manufacturing comment period in when they are incredegeden of when they
Among the given statements, the true statement is: "When production and sales are equal, net income will be greater under variable costing than under absorption costing." This statement highlights a key difference between variable costing and absorption costing in relation to net income calculations.
Variable costing is a method of cost allocation where only variable manufacturing costs are considered as product costs, while fixed manufacturing costs are treated as period expenses. On the other hand, absorption costing allocates both variable and fixed manufacturing costs to products.
When production and sales are equal, under variable costing, fixed manufacturing costs are treated as period expenses and are deducted from total expenses in the income statement. This results in a higher net income because fixed costs are not included in the calculation of product costs. In contrast, under absorption costing, fixed manufacturing costs are allocated to products and become part of the cost of goods sold. This reduces net income as a result.
In summary, when production and sales are equal, net income will be greater under variable costing compared to absorption costing due to the treatment of fixed manufacturing costs as period expenses rather than allocating them to products.
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mitch has $100 to spend and wants to buy either a new amplifier for his guitar or a new mp3 player to listen to music while working out. both the amplifier and the mp3 player cost $100, so he can only buy one. this illustrates the basic concept that
The basic concept is People face trade-offs.
Explain People face trade-offs?
The first of N. Gregory Mankiw's Ten Principles of Economics is "People Face Trade-Offs." 6th Edition of Principles of Macroeconomics (2012), page 4. He gives several instances in terminology that would be more at home in a high school text than a popular college literature. You can't learn something practical, like welding or English literature, if you spend five hours studying economics. When parents have a set amount of money, they are not allowed to save or spend money on food in addition to the rent. He presents two macro instances after that, acting as though society were a person and faced trade-offs in exactly the same way as a household (government is similar to a household).To learn more about People face trade-offs refer to:
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Kathy and Jake are purchasing a house and are financing $465,000. The mortgage is a 20-year
5/1 ARM at 3.5% with a 2/7 cap structure. What will the remaining balance be after the first 5 years?
a $396,038.65
b$427,354.28
c $407,836.29
d $377,238.57
Answer:
D
Explanation:
The remaining balance on a 20-year 5/1 ARM at 3.5% interest with a 2/7 cap structure after 5 years will be $377,238.57.
Pro life tip: Do NOT finance your home with an ARM mortgage.
Good luck in your studies!
what are the major components of a business operating plan?
Answer:
capital
investors
knowledge in field
the highlighted structure contributes to which autonomic function? inferior view of the brain. the highlighted structure is the most inferior bunch of yellow colored tissue arising between an oblong structure situated in the middle of the brain and a large structure, each half of which embraces the roundish structure.the highlighted structure contributes to which autonomic function? stimulation of secretions of the submandibular and sublingual salivary glands
Stimulation of secretions of the submandibular and sublingual salivary glands.
What triggers the secretion of salivary glands?The parasympathetic nerves and neuropeptides like substance P play a major role in the mechanism of salivary gland secretion, which also includes adrenergic signaling by sympathetic nerves. A mixed serous and mucous discharge is produced by submaxillary (mandibular) glands. The saliva that sublingual glands produce has a mucous composition in the majority of cases.
How can you increase salivation?Increase your fluid intake by regularly sipping on cold water or an unsweetened beverage. Chew sugar-free gum or suck on sugar-free candies to encourage saliva production in your mouth. Sucking on an ice cube will wet your mouth as it slowly melts.
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Guya paid 20% more for a name-brand entertainment system than a generic one would have cost.assuming the generic system was $400, how much did he pay for his entertainment system
Answer:
$480
Explanation:
Find 1% of the cost.
100% = 400
1% = 400 ÷ 100 = 4
Since they are asking for entertainment system, which costs 20% more than the generic, find out 120%.
120% = 4 x 120 = 480
Assume you have two investment opportunities. The first gives you $50,000 a year for the next three years. At a discount rate of 12.044 the PV is equal to $120,000 The second gives you a lump sum of $168,790.14 in three years. At a discount rate of 12.044 the PV is equal to $120,000. Suppose that Investor A says that she wishes to have yearly payments of $50,000 a year and therefore even though both investment opportunities have the same PV she prefers the first investment opportunity. Suppose that Investor B says that he has no need for yearly payments and wants a lump sum at the end of three years. Therefore Investor B says that even though both investment opportunities have the same PV he prefers the second investment opportunity. However, someone who has studied finance makes the following assertion: if two investment opportunities have the same PV but different cash flow timings you can always generate your desired cash flows from either investment. Let's use the examples above. Prove that if you have the first investment opportunity you can sell it for its PV and then generate the cash flows from the second investment opportunity and if you have the second investment opportunity you can sell it for its PV and then generate the cash flows for the first investment opportunity. Question Six (three points) Assume you are responsible for determining the market value of investment grade bonds that the bank you work for is holding. Your boss does not understand why the rise in the yields on Treasury bonds has resulted in a decrease in the value assigned to the bonds. Explain this, focusing on why it makes sense. (Your boss doesn't understand the formula for PV and just telling him what the formula shows won't be a profit that your boss will be happy with.)
PV of the investment opportunity can be calculated using a discount rate of 12.044. Now, let's see what the assertion means, "if two investment opportunities have the same PV but different cash flow timings you can always generate your desired cash flows from either investment.
"For example, suppose an investor has to choose between two investment opportunities: a 5-year annuity with yearly payments of $1000 and a 5-year bond with a face value of $5000 that will mature in five years. The present value of both investments is $4305.88 if a 5% discount rate is used. So, according to the assertion, an investor who prefers a lump sum of $5000 in five years' time would be able to get it by investing in the annuity and reinvesting the yearly payments at a 5% rate.
Similarly, an investor who prefers yearly payments of $1000 would be able to invest in the bond and reinvest the final payment at a 5% rate to generate the desired cash flows. If we compare the two investment opportunities mentioned in the question, we can see that:Investor A prefers the first investment opportunity because she wants yearly payments of $50,000. To generate the same cash flows, she could sell the first investment opportunity for its present value of $120,000 and invest in the second opportunity.
Investor B prefers the second investment opportunity because he wants a lump sum of $168,790.14 in three years. To generate the same cash flows, he could sell the second investment opportunity for its present value of $120,000 and invest in the first opportunity. Thus, the assertion that if two investment opportunities have the same PV but different cash flow timings, you can always generate your desired cash flows from either investment is correct.
Explanation:As yields on treasury bonds increase, investors prefer to invest in them rather than investment-grade bonds. This is because investment-grade bonds are low-risk investments. If the yields on treasury bonds increase, investment-grade bond yields also have to increase to compensate for the higher risk involved with them.
The market price of bonds is inversely proportional to the yield. When yields rise, bond prices decrease, and when yields fall, bond prices rise. So, the rise in treasury yields has resulted in a decrease in the value assigned to investment-grade bonds.
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There are several steps you can take to reduce the potential of being a victim
of consumer fraud, including.
Answer:
Here are some steps to be taken to avoid being a victim of consumer fraud:
Spot Imposters: Scammers often pretend to be someone else, especially one you can trust, like a government official.Online searching: Search about the company of product online to see if it is legit or not.Don't pay in advance: Scammers always try to get money in advance, in terms of taxes or fees.Discuss with someone: Before giving someone your money, talk to someone you trust or preferably to an expert.Personal information: Don't given any unknown person your personal information, money, or any kind of financial detailsGross wage refers to the wage an employee earns before deductions are subtracted.
The statement is true.
gl everyone! ·ω· <3
who here from K12? (sorry for asking this question)
Answer:
Explanation:
Answer:
Not I.
Explanation:
This is just constructive criticism, but I don't recommend listing your school here.
Disadvantages of choosing a job that is extremely popular or in demand
The disadvantage of choosing a job that is very popular or a job that is in high demand is that after a while such a job may become saturated or it would become monotonous.
What is a high demand job?This is the term that is used to refer to a job that the people that wpould employ labor are constantly in need of. Such a job is one that would require the people that have the qualification to opt in and get the places and the roles that they are to fill.
The issues that may arise from such a job that is in high demand is that after a period, such a job may have a lot of persons that would want to fulfil the role.
The number of qualified persons may become more than the job that is available for the people to do in the long run.
Hence this is a disadvantage. Therefore I would conclude by saying that the disadvantage of choosing a highly popular job is that the number of persons that are willing to fulfil the role may exceed the job overtime.
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When you are already employed, and you received your w-2 form, what do you use it for?
You pay a monthly fee to have telephone service for your business. The amount you pay is the same every month. This is an example of a ________ cost.
Answer:
This is an example of a Fixed Cost.
Answer:
fixed cost
Explanation: