Someone who has a deck with rotting wood will be the one would most likely be a customer of workers in the architecture and construction cluster.
A customer is defined as a person or an individual owning a business or someone who is self-employed and is willing to buy goods and services for his personal use or the use of his organization. He buys goods and services to meet the needs of his organization. Without customers, businesses will not be able to exist on their own.
The purchasing power of the customer depends on the amount of the product he wishes to buy and his income. The customer can only purchase goods and services if the cost of the product is less than or equal to his income.
In this case, the person having a deck with rotten wood required new wood and also workers to be employed to replace the rotten wood. So, he is the best suitable customer.
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which is one advantage of private insurance offered by most employers
Answer: A managed care plan that keeps costs low
Explanation:
I took the test
the estimated use the company expects to obtain from an asset before disposing of it is referred to as the
The estimated use the company expects to obtain from an asset before disposing of it is referred to as the useful life.
The useful life of an asset is an accounting estimate used to estimate the number of years an asset is likely to be used for revenue generation in a cost effective manner for the benefit of the company. Useful life is used in the calculation of the deprecation expense of an asset.
Determinants of the useful life of an asset
Frequency with which the asset is used. The more an asset is used, the lower its useful life. The age of the machine when it was purchased. The quality of maintenance of the asset.A similar question was answered here: https://brainly.com/question/17267874
Albany Motors recently completed a 3-for-1 stock split. Prior to the split, the company had 10 million shares outstanding and its stock price was $150 per share. After the split, the total market value of the company's stock equaled $1.5 billion. What was the price of the company's stock following the stock split
Answer:
$50
Explanation:
The computation of the price of the company's stock following the stock split is shown below:-
Number of shares = 3 × 10 million
= 30 million
Price of the company's stock
= Total market value ÷ Number of shares outstanding
= 1.5 × 10^9 ÷ 30 × 10^6
= 1.5 × 10^2 ÷ 3
= 150 ÷ 3
= $50
We simply applied the above formulas so that the price of the company stock after stock split could come
Let’s say you make $27 per hour and work 40 hours per week. If you receive 3 week(s) of unpaid vacation time per year, how much will you earn, before taxes, for the year?
Group of answer choices
O $59292.
O $53900.
O $56160.
O $52920.
$52920 much will you earn, before taxes, for the year. The correct answer is $52920.
Assuming that you work 40 hours per week for a full year, with 3 weeks of unpaid vacation time, you would earn $52920 before taxes for the year. This can be calculated by multiplying $27 per hour by 40 hours per week by 52 weeks in the year, minus the 3 weeks of unpaid vacation time ($27*40*52) - ($27*40*3) = $52920.
If you make $27 per hour and work 40 hours per week, you will earn $1080 per week ($27 x 40). If you receive 3 weeks of unpaid vacation time per year, you will work for 49 weeks in a year (52 weeks - 3 weeks). Therefore, you will earn $52920 before taxes for the year ($1080 x 49).
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. A quadratic polynomial whose one zero is 6 and the sum of the zeroes is 0, is x*2-6
True
False
pls tell fast
Answer:
False
Explanation:
From the question, we can see that a quadratic polynomial is made up of two elements or variables called zeros in this question
From the question, we are told that one variable (zero) = 6
The second variable (zero) = unknown , therefore we can represent the second variable as Y
We are told that the sum of the variables = 0
This means:
6 + Y = 0
Therefore, Y = 0 - 6
Y = -6.
The second variable ( zero) = - 6
Since it is a quadratic polynomial,
The roots of the polynomials are the variables 6 and -6
Hence, we have:
(x + 6) (x - 6) = 0
Expanding the brackets
x² - 6x + 6x - 36 = 0
= x² - 36 = 0
Therefore, a quadratic polynomial whose one zero is 6 and sum of the zero is 0 is x² - 36 = 0
This means the statement made in the question above "A quadratic polynomial whose one zero is 6 and sum of the zero is 0 is x²-6" is false
Cycle Wholesaling sold merchandise on account, with terms n/60, to Sarah's Cycles on February 1 for $1,250 (cost of goods sold of $725). On February 9, Sarah's Cycles returned to Cycle Wholesaling one-quarter of the merchandise from February 1 (cost of goods returned was $195). Cycle Wholesaling uses a perpetual inventory system, and it allows returns only within 15 days of initial sale. Required:
Answer:
1. 1-Feb
Dr Accounts receivable 1,250
Cr Sales revenue 1,250
2 . 1-Feb
Dr Cost of goods sold 725
Cr Inventory 725
3. 9-Feb
Dr Sales revenue 312.50
Cr Accounts Receivable 312.50
4. 9-Feb
Dr inventory 195
Cr Cost of goods sold 195
5. 2-Mar
Dr Cash 937.50
Cr Accounts receivable 937.50
B. Gross profit percentage=43.47%
Explanation:
A. Preparation of the journal entries to record sales , goods return on February 9 and Cash collected on March 2
1 to 3 Preparation of the journal entries to record sales
1. 1-Feb
Dr Accounts receivable 1,250
Cr Sales revenue 1,250
2 . 1-Feb
Dr Cost of goods sold 725
Cr Inventory 725
3. 9-Feb
Dr Sales revenue 312.50
Cr Accounts Receivable 312.50
(1/4*1,250)
4. Preparation of the journal entry to record goods return on February 9
9-Feb
Dr inventory 195
Cr Cost of goods sold 195
5. Preparation of the journal entry to record collected on March 2
2-Mar
Dr Cash 937.50
Cr Accounts receivable 937.50
(1,250-312.50)
B. Calculation for the gross profit percentage for sales to Sarah's Cycles
First step is to find the gross profit
Net sales 937.50
Less Cost of goods sold (530)
(725-195 )
Gross profit 407.50
Now let calculate the Gross profit percentage using this formula
Gross profit percentage = Gross profit/Sales
Let plug in the formula
Gross profit percentage=407.50/937.50
Gross profit percentage=0.4347*100
Gross profit percentage=43.47%
Riskier investments can yield higher returns:
A) but, are generally less expensive
B)but, generally experience steeper downturns
C) so, you should invest all your money in high risk stocks
D) none of the above
The Riskier investments can yield higher returns, Because They put your money at higher risk. This means that if things go well, high-risk investments can produce high returns.
What is the investment?Investment is the ceremonial of money to purchase an asset to attain an increase in value over a time period of time. Investment requires a sacrifice of some present quality, such as time, medium of exchange, or effort. In finance, the purpose of investing is to generate a return from the invested asset.
The risk investment may offer the chance of higher returns than other investments might produce, but they put your money at higher risk. This means that if things go well, high-risk investments can produce high returns. But if things go badly, you could lose all of the money you invested.
Therefore, Thus option (D) is correct.
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What is sustainability?
Explain one aspect of financial sustainability for a hospitality
business. Related to environment
The concept of "sustainability" is meeting present needs without jeopardising the ability of future generations to do the same. It involves balancing economic, environmental, and social considerations to ensure long-term viability and resource preservation.
One aspect of financial sustainability for a hospitality business related to the environment is the implementation of energy-efficient practices and technologies. By adopting energy-efficient measures, such as using LED lighting, installing energy-saving appliances, and optimizing heating, ventilation, and air conditioning (HVAC) systems, a hospitality business can reduce its energy consumption and associated costs.
To illustrate the financial impact of energy-efficient practices, let's consider an example. Suppose a hotel implements energy-efficient lighting systems throughout its facilities, resulting in an annual electricity cost savings of $20,000. Additionally, the hotel incurs an upfront investment of $80,000 for the lighting upgrade.
We divide the initial investment by the annual savings to calculate the payback period.
Payback period = $80,000 / $20,000
Payback period = 4 years
In this case, the energy-efficient lighting upgrade would have a payback period of 4 years, meaning it would take four years to recoup the initial investment through electricity cost savings.
Financial sustainability in the context of environmental considerations for a hospitality business involves implementing energy-efficient practices and technologies. By reducing energy consumption and associated costs, the business can improve its financial performance while contributing to environmental preservation and resource efficiency. The payback period can help evaluate the financial feasibility of such initiatives, ensuring long-term financial sustainability and environmental responsibility.
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London corp. Issues 1,000 shares of stock for $20 per share. What are the effects of this transaction?.
The effect of this transaction is : Common stock is increased, Cash is increased.
What is issue of shares?Issue of Shares refers to the process in which companies allot new shares to shareholders. Shareholders in this scenario can either be individuals or corporates.
With regards to the above, Common stock is increased, Cash is increased. This is because issuance of stock increases common stock balance while value in cash account is also increased.
Hence, the effect of this transaction is : Common stock is increased, Cash is increased.
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Three employees believe that their pay is too low. One of them quits, the second complains to management about the low pay, and the third does nothing. Explain why these employees engaged in different behaviors even though they held the same belief about their paychecks using EVLN model.
Employees respond differently to workplace unhappiness, according to the EVLN (Exit, Voice, Loyalty, Neglect) paradigm.
What components makes up EVLN?Exit: denotes leaving an organization or asking to change roles there. Giving a voice to a stressful circumstance involves making helpful suggestions. Loyalty suggests waiting for others to address the problem. Neglect: lowering employee productivity to negatively affect a company's performance. As a result, even though they agree that wages are low generally, employees in the case deploy the departure (employee who quits), voice (employee who complains), and loyalty (employee who does nothing) reactions. Voice can be a positive reaction, such as offering suggestions for how management might better the circumstance, or it can be a more aggressive response, such as by submitting official grievances.
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Which of the following is NOT part of the promotional mix?
Question 20 options:
Physical Distribution
Public Relations
Advertising
Sales Promotion
Answer:
A- Physical Distribution
Explanation:
Advertising.Public relations or publicity.Sales promotion.Direct marketing.Personal selling.Physical Distribution is part of marketing mix therefore it is A.
True or False: Secondary data is usually more expensive than collecting primary data.
The statement that secondary data is generally more expensive than primary data collection is False.
Indeed, primary data is very expensive while secondary data is economical. When working with a small budget, researchers benefit from working with secondary data and then analyzing it to discover new trends.
What is Primary and Secondary data?Primary data is first-hand data collected by the researcher himself. Primary data is “pure” in the sense that no statistical operation has been performed on it and that it is original.
Secondary data on the other hand is a type of data that comes from somewhere it was originally collected. This means that this type of data has already been collected by some scholars or researchers in the past and is available in published or unpublished form. This information is impure because it may have already been the subject of statistical processing.
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Suppose that Florida Bank has recently granted a loan of $2 million to Oyster Farms at LIBOR plus 0. 5 percent for six months. In return for granting Oyster Farms an interest-rate cap of 6. 5 percent on its loan, this bank has received from this customer a floor rate on the loan of 5 percent. Suppose that, as the loan is about to start, LIBOR declines to 4. 25 percent and remains there for the duration of the loan. How much (in dollars) will Oyster Farms have to pay in total interest on this six-month loan with floor and without floor?How much in interest rebates will Oyster Farms have to pay due to the fall in LIBOR?
Oyster Farms will have to pay a total interest of $95,000 on the six-month loan without the floor rate, and $100,000 with the floor rate. They will receive an interest rebate of $5,000 due to the fall in LIBOR.
Without the floor rate, Oyster Farms would have to pay interest at a rate of LIBOR plus 0.5 percent, which equals
4.25% + 0.5% = 4.75%.
With a loan amount of $2 million, the total interest payment without the floor rate would be
$2,000,000 * 4.75% = $95,000.
With the floor rate of 5 percent, Oyster Farms would have to pay interest at a rate of 5 percent, regardless of the decline in LIBOR to 4.25 percent. Again, with a loan amount of $2 million, the total interest payment with the floor rate would be
$2,000,000 * 5% = $100,000.
Since LIBOR declined, Oyster Farms will receive an interest rebate due to the fall in LIBOR. The difference between the interest payment without the floor and the interest payment with the floor is
$100,000 - $95,000 = $5,000.
Therefore, Oyster Farms will receive an interest rebate of $5,000.
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Write a paragraph explaining what kind of assessment works best for you to really be able to show what you know. (Consider standardized tests, open ended responses, essays, projects, speeches, labs). Explain how your learning style may influence your success on each kind of assessment. 100 POINTS PLZ HELP TODAY
Answer:
In my experience, essays work best for me to be able to show what I know. I feel that they are more effective than taking, say, a standardized test for example. This is because they are often multiple choice, and I find myself sometimes guessing rather than doing the intended work. In an essay, I have no option other than to type/write out what I know with little-to-no guesswork, making writing out an essay a superior option when it comes to displaying my knowledge on a topic. My preferred learning style is of the visual sort, and that means I learn best by taking notes, seeing examples, using charts and diagrams, etcetera. These skills influence my success on many different types of assessments, including essay writing, test taking, and project making. I am able to visually take notes on the topic at hand, often with examples, which, in my experience, greatly influences my success on these different types of assessments.
When making decisions, managers often must decide between doing what is beneficial for the firm in the short term, and what is beneficial for both the firm and society in the long term. To address this conflict, a firm must
When making decisions, managers are often faced with a conflict between what is beneficial for the firm in the short-term and what is beneficial for both the firm and society in the long-term.
This conflict arises because the actions that benefit the firm in the short-term may not necessarily align with the interests of society as a whole, which can lead to negative consequences for both the company and society in the long-term.
To address this conflict, a firm must adopt a long-term orientation and consider the broader social and environmental impacts of its decisions. This means looking beyond immediate financial gains and recognizing that actions taken today can have far-reaching implications for the company's reputation, customer loyalty, employee morale, and overall sustainability.
Firms that prioritize social responsibility and sustainable business practices are more likely to build strong relationships with stakeholders, including customers, employees, investors, and regulators. They are also better equipped to weather economic downturns and other disruptions, as they have diversified their risk and invested in building resilient supply chains and communities.
Ultimately, the key to addressing the conflict between short-term gains and long-term benefits is a commitment to corporate social responsibility (CSR) and sustainable business practices. By prioritizing the needs of society and the environment alongside those of shareholders, firms can create value for all stakeholders over the long-term, ensuring their continued success and impact.
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Read the following descriptions. Decide who demonstrates good habits and attitudes.
Michael likes his job. He decides to take a few finance classes so that he becomes better at his job. This will also help in case he wants to transfer to a new position in the same company.
Bryan thinks he has the best job. He thinks he is already doing the best he can and doesn't do anything to improve his skills.
Answer:
Michael demonstrates good habits and attitude
Explanation:
Michael likes his job and takes the initiative to do better so he can get a new position,however Bryan is very cocky and doesn't try to get better.
What does it mean when the feds raise interest rates?.
Answer:
slowing the economy by pushing up borrowing rates and raising the annual percentage rate on savings
Explanation:
what are two resources within you that are important when choosing a career you would like
Answer:
Your happiness
education and training
social environment
Explanation:
Fiona wrote a check to the veterinarian for $89. 56. She’ll use the check register to record her transaction. What will be her new balance? A check register has a balance of 2,324 dollars and 41 cents. 225 dollars and 14 cents is debited, 475 dollars and 12 cents is deposited, and 25 dollars and 89 cents is debited. $2,458. 94 $2,484. 83 $2,549. 55 $2,575. 44.
Fiona's new balance would be $2,458. 94.
When a debit transaction takes place, money is withdrawn from the account. Thus the amount of money in the account would be reduced by the amount withdrawn. Debits would be withdrawn from the balance.
When a credit transaction takes place, money is deposited into the account. The amount of money in the account increases by the amount deposited. Deposits would be added to the balance.
New balance = 2324,41 - 89.56 - 225.14 + 475.12 - 25.89 = $2,458. 94.
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1.
There are three main credit reporting bureaus -- Equifax, Experian, and TransUnion. How
frequently can you request and receive a free credit report from each bureau?
Every Credit user is entitled to a free credit report every 12 months (1 years) from either of Equifax, Experian, or TransUnion.
What are credit reporting agency?These are agency that maintains only an historical credit information on individuals and businesses.
The maintained historical credit information helps in preparation of the credit report and score of all individuals and businesses in United states..
In U.S., the three main credit reporting bureaus includes the Equifax, Experian and TransUnion.
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Type the correct answer in the box. Spell all words correctly. The demand curve has what kind of slope?
Answer:
Usually slopes downwards
Explanation:
in a negative association
What policy goal would a government set if it were trying to achieve price stability?
A
maintaining a low unemployment rate
B
maintaining a high economic growth rate
C
maintaining a high income tax rate
D
maintaining a low inflation rate
Answer:
Explanation:
B
Jasper Pernik is a currency speculator who enjoys "betting" on changes in the foreign currency exchange market. Currently the spot price for the Japanese yen is ¥129.87/$ and the 6 - month forward rate is ¥128.53/$. Jasper thinks the yen will move to ¥128.00/$ in the next six months. If Jasper buys $100,000 worth of yen at today's spot price and sells within the next six months at ¥128/$, he will earn a profit of: A. $101,460.94 B. $1460.94 C. $146.09 D. nothing; he will lose money
If Jasper buys $100,000 worth of yen at today's spot price and sells within the next six months at ¥128/$, he will earn a profit of $1460.94.
"What is Currency Speculation:?A currency speculator is a person who speculates on the market price of different currencies for financial gain. They can be private individuals or corporations that work in foreign exchange. In the foreign exchange market, currencies are traded against one another. The currencies traded most frequently in this market are those of major economies with stable governments, reputable central banks, and low inflation rates.
A speculator is a person who attempts to profit from market speculation by taking on a higher risk. Speculation can be profitable, but it is not without risks.
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RUE or FALSE:
a contract is not discharged by a foreseeable circumstance no matter how difficult or costly the performance may become
False. The parties must also establish that the circumstances leading to frustration could not have been anticipated by the parties when they concluded the contract.
Foreseeable circumstances are the events that could reasonably be expected to happen or to cause damages. When circumstances make performance harder or more expensive, a contract is not automatically discharged. This means that the parties must fulfil their contractual obligations as closely as possible, even if this means incurring additional expenses or effort. The doctrine of frustration holds that if the purpose of a contract has been entirely frustrated, it will no longer be possible to enforce the terms of the contract.
The doctrine of frustration is applied only in exceptional situations. An unexpected event, such as a natural disaster, which would render a contract difficult or impossible to fulfil, may constitute grounds for its discharge.The party who asserts the occurrence of frustration of a contract must provide proof of it. The parties must also establish that the circumstances leading to frustration could not have been anticipated by the parties when they concluded the contract.
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Question 9 of 10
Why do many people think the revision stage is the hardest?
A. A lot of research must be done at this stage.
B. Using the spelling and grammar checkers takes a lot of time.
OC. It takes the longest time because all of the errors must be
corrected.
D. Thinking critically about your own writing can be difficult.
SUBMIT
At some point, everyone feels frustrated with the revision process. This is because revision and research are not easy processes.
Research is defined as "creative and methodical work done to increase the body of knowledge." It entails gathering, organizing, and analyzing data in order to better understand a subject and is distinguished by a specific focus on identifying and eliminating sources of bias and mistakes.
In general, research is the planned and disciplined process of locating answers to questions. It is systematic because it follows a set of distinct steps that end with conclusions. Research is organized because the conclusion was reached using a predetermined structure or process.
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The revision stage is often deemed challenging due to the critical self-reflection required, the detail-oriented tasks necessary to correct and improve the text, and in some cases, the additional research needed to fill in gaps or provide further support for arguments.
Explanation:Many people view the revision stage as the hardest part of the writing process due to a variety of reasons. Firstly, critical thinking about one's writing can prove to be a daunting task. Humans naturally resist change and, as a result, critique of their own work can be both challenging and uncomfortable. This includes assessing the content, organization, and clarity of ideas which requires a deep and thoughtful reading of one's own text.
Secondly, the revision stage is time-consuming. This stage involves correcting errors, making sure the text makes sense, and improving the overall quality. Each of these steps requires a keen and delicate eye for detail.
Moreover, although research is typically done prior to this stage, sometimes additional research is needed to help clarify points or to provide further support for arguments, especially when gaps in logic or content continuity have been identified during revision. Hence, this step might involve additional research or comprehensive realignment of one's work.
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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.
although raymond and maria both received a college education, their employment situations have very different economic consequences. what sentence most accurately summarizes the economic impact of unemployment of people with disabilities?
The sentence that most accurately summarizes the economic impact of unemployment of people with disabilities is that it leads to economic dependence.
What is economic dependence?Unemployment of people with disabilities can lead to economic dependence. When people with disabilities lose their jobs, they might not be able to find another job that fits their qualifications, which can lead to a long-term reliance on welfare or social security services.
People with disabilities may have higher expenses due to medical costs, mobility aids, or accommodations at work, which can increase their dependency on government services.
Even if they want to work and have the skills and qualifications required, they may face discrimination in the job market, making it even more difficult for them to find suitable employment.
According to data from the US Department of Labor, the unemployment rate for people with disabilities is higher than for people without disabilities. This difference has been observed consistently over time and applies to people of all ages, educational levels, and types of disability.
Therefore, programs that support people with disabilities to secure employment and to thrive in the workforce are essential.
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View Policies Current Attempt in Progress A company issues $25850000, 7. 4%, 20-year bonds to yield 8% on January 1, 2020. Interest is paid on June 30 and December 31. The proceeds from the bonds are $24315069. Using effective-interest amortization, what will the carrying value of the bonds be on the December 31, 2020 balance sheet? (Round answer to O decimal place, e. G. 52. ).
The carrying value of the bonds on the December 31, 2020 balance sheet, using effective-interest amortization, will be $24,315,070.
To calculate the carrying value of the bonds, we need to consider the bond issuance proceeds, the interest payments, and the effective-interest amortization.
The bond issuance proceeds were given as $24,315,069. The interest is paid semi-annually on June 30 and December 31. The coupon rate is 7.4%, and the market yield is 8%.
Using the effective-interest amortization method, the carrying value of the bonds is adjusted based on the market yield and the remaining term of the bonds. As the market yield is higher than the coupon rate, the carrying value will be lower than the bond issuance proceeds.
By applying the effective-interest amortization, the carrying value of the bonds on the December 31, 2020 balance sheet is determined to be $24,315,070. This represents the adjusted value of the bonds at the end of the year, reflecting the amortization of the bond discount or premium.
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what are the disadvantage of credit card
Answer: you don’t see your own money.
Explanation:
Banks are a stabilizing force in our entire financial system. Discuss two of the three primary function of the banking system.
Answer: Banks transfer money from savers to borrowers by holding deposits and lending excess reserves. Banks also create money by making loans of excess reserves.
Explanation: Those are two primary functions.
The banks function in three ways as transfer money from savers hold deposits, and make money by giving loans.
What is a banking system?A banking system is one that is a group or a network of institutions that provides financial services to people. The banking system includes the provision of loans, deposits, and helping investments.
The bank transfers the money from the savers to borrowers by holding the deposits and lending the excessive transfer of reserves.
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