The total amount of money needed to buy 300 shares of Pfizer Incorporated (PFE) which trades at $38.22 including the commission charged by the discount brokerage firm is $14,046.
To calculate the cost of 1 share, we will multiply the number of shares by the price of 1 share.
Cost of 1 share = $38.22 × 1= $38.22
To calculate the cost of 300 shares, we will multiply the cost of 1 share by the number of shares.Cost of 300 shares = $38.22 × 300= $11,466
Therefore, the cost of buying 300 shares of Pfizer Incorporated (PFE) which trades at $38.22 is $11,466.
As we know, that the discount brokerage firm charges $8.60 per stock trade. Therefore, the total amount of money needed to buy 300 shares of Pfizer Incorporated (PFE) which trades at $38.22 including the commission charged by the discount brokerage firm is:
Total cost = cost of shares + commission
Total cost = $11,466 + (300 × $8.60)
Total cost = $11,466 + $2,580
Total cost = $14,046
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solve the problem. a manufacturer estimates that the marginal cost of producing q units of a certain commodity is dollars per unit. if the cost of producing 10 units is $2000, what is the cost of producing 20 units? $4360 $972 $19,520 $7320
manufacturer estimates collection of approaches and instruments used to project the anticipated ultimate cost of a produced good is known as manufacturing cost estimation.
manufacturer estimates Important production decisions are based on the study, including which goods will be profitable, which suppliers are providing a fair price, and which present product offers need to be redesigned to remain cost-competitive. This analysis can take a variety of forms, from simple back-of-the-envelope math to a full, simulation-based cost management platform like aPriori. Manufacturing cost projections provide a crucial framework for related investigations like:
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Which of the following is a true statement regarding saving for retirement?
A. In a given year, a taxpayer may participate in either an employer-sponsored defined benefit plan or defined contribution plan but not both.
B. In a given year, a taxpayer who receives salary as an employee and also receives self-employment income may participate in an employer-sponsored defined contribution plan or may contribute to a self-employed retirement account but not both.
C. In a given year, a taxpayer may contribute to an IRA (either traditional or Roth) or contribute to a self-employment retirement account but not both.
D. None of these is a true statement.
The correct option regarding retirement is option D
Option d is none of these is a true statement.
What is the relationship between tax payers and retirement?Once you start making withdrawals from a conventional IRA, you must pay tax at your standard income tax rate on the profits component of those withdrawals. You will be responsible for paying tax at the same rate on each withdrawal's full amount if you deducted any portion of your contributions. IRS Publication 590, Individual Retirement Arrangements, has directions for figuring out how much you owe.
If you have a Roth IRA, you won't pay any taxes on your earnings as they grow or when you make a legal withdrawal. The account must, however, have been open for at least five years for you to be eligible for tax-free provisions on interest and earnings.
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The histogram and box plots below show the distribution of finishing times for male and female winners of the New York Marathon between 1970 and 1999.
Answer:
Kindly check explanation
Explanation:
A.)
From the histogram, the number of runners who made a certain range of Runtime can be easily deduced on the y-axis of the histogram, which isn't possible on the boxplot.
Summary statistic such as lower quartile, median and upper quartile statistics including outliers can be deduced easily from the boxplot.
B.)
Bimodal distribution occurs when two different groups or class have the highest number of values in a distribution.
C.)
The distribution of marathon times for men is fairly normally distributed while that if women is skewed.
The minimum and maximum values in the women's distribution is greater than the minimum and maximum values in the men's distribution.
The women's distribution has greater variance than the men's distribution. (greater range value).
What is the purpose of the World Trade Organization ?.
The World Trade Organization (WTO) is the only international body responsible for enforcing international trade regulations.Making sure that trade moves as smoothly, predictably, as freely as possible is its main goal.
What does the World Trade Organization aim to accomplish? In a nutshell, the World Trade Organization (WTO) is the sole international body in charge of regulating international trade.The major goal of this organization is to make sure that trade proceeds as easily, reliably, and freely as possible.In order to ensure that commerce flows as easily, reliably, and freely as possible, its primary purpose is to liberalize trade.To maintain effective, equitable, and predictable global commerce is the WTO's mission.The World Trade Organization, sometimes known as the WTO, is an intergovernmental body whose main goal is to promote free trade for the good of all. WTO' s primary duties:Implement the accords that the WTO's member countries have pledged to uphold.Make a venue available for upcoming trade talks.Allows for the resolution of trade disputes (binding process).To learn more about WTO refer
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When you do not pay off a credit card in full each month, you may potentially pay hundreds or thousands of dollars in ______________ fees
When you do not pay off a credit card in full each month, you may potentially pay hundreds or thousands of dollars in financing fees.
Finance charges are a way for a lender to get paid for giving a borrower credit or access to funds. These costs could be one-time payments, like the origination fee for a loan, or they could be interest payments that could be repaid daily or monthly. Finance fees might differ from one product to another or from one lender to another.
The best way to determine an interest rate to charge is not determined by a single formula. A customer may be eligible for two comparable products with two distinct sets of finance charges from two different lenders.
The interest rate is one of the more frequent financing charges. This enables the lender to generate a profit, calculated as a proportion of the current amount supplied.
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Use the following chart to explain how the amount of principal affects the total cost of the loan
Answer: The higher the principal, the higher the total cost of the loan
Explanation:
From the chart shown we can see that the loan with a higher principal has a higher total cost than the loan with the smaller principal.
This happens because the interest rate attached affects larger figures more than smaller ones. 6.47% of $6,000 is $389 which is larger than 6.47% of $5,000 which is $324 (calculating the cost of a loan is more cumbersome than this but this shows the effect as well).
When compounded overtime, this difference will be even more and thus shows that larger principals cause larger total costs.
Answer:
The higher the principal, the higher the total cost of the loanExplanation: In a part of the mortgage payment is dedicated to repayment of the principal balance.
Now explain that Loans are structured so the amount of principal returned to the borrower starts low and increases with each mortgage payment.Then, The payments in the first years are applied more to interest than principal, while the payments are in the final years.In our mortgage $100,000, The principal is $100,000.
This happens because the interest rate attached affects larger First figures will more than smaller ones.6.47% of $6,000 is $389 which is larger than = 6.47% of $5,000 which is $324 .
now,(calculating the cost of a loan is more this shows the effect as well).
When compounded over time, this is difference will be even more and thus shows that larger principals cause larger total costs.Learn more about :
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What are some benefits and consequences to shared decision-making?
Answer:
Shared decision making has been shown to result in treatment plans that better reflect patients' goals; increase patient and physician satisfaction; improve patient-physician communication; have a positive effect on outcomes; and, sometimes reduce costs.
the foreign corrupt practices act outlawed question 13 options: accounting fraud. price collusion. corruption in government. bribery of officials in other countries. executive misconduct.
The foreign corrupt practices act outlawed d. bribery of officials in other countries.
What is corrupt practices act?
The United States passed the Federal Corrupt Practices Act, often known as the Publicity Act, in 1910 and revised it in 1911 and 1925. Up until the Federal Election Campaign Act was passed in 1971, it remained the basic legislation of the country governing campaign funding in federal elections. On June 25, 1910, President William Howard Taft signed the Act.
For House general elections, the Act set expenditure caps for political parties. By mandating political party national committees to provide post-election reports on their contributions to particular candidates and their own expenditures, it was the first federal law to call for the public disclosure of spending by political parties but not by candidates.
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John and Jean are married and decide to open three separate accounts for their money. What is the most likely reason for their decision? A. They have too much money and can’t keep it in a single account. B. John and Jean are part of a dual-income family. C. The bank does not allow more than one person to open an account. D. They want someone else to handle their finances.
Answer:
B. John and Jean are part of a dual-income family
Answer:
B. John and Jean are part of a dual-income family.
Explanation:
the long run impact of a technological breakthrough that reduces the cost of fertilizer in a perfectly competitive agricultural market would be
An increase in the number of agricultural product producers.
In a completely competitive market, if new technology results in a significant reduction in manufacturing costs, the market's profitability will increase. As a result, new firms will enter the market, and more product will be produced.
The long run, perfect competition
The long-run impact of a technological breakthrough that reduces fertilizer costs in a perfectly competitive agricultural market would look like this.
In a perfectly competitive long-run equilibrium market, an increase in demand generates economic profit in the short run and induces entry in the long run; a decrease in demand generates economic losses (negative economic profits) in the short run and forces some firms to exit the industry in the long run.
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there are several ethical considerations when starting a business, but competing against current and former work relationships is always fair game. true or false
The given statement "there are several ethical considerations when starting a business, but competing against current and former work relationships is always fair game." is False. Competing against current and former work relationships is not always fair game.
One of the most important ethical considerations when starting a business is to avoid conflicts of interest. Competing against a current or former employer may be viewed as a conflict of interest and could potentially damage your professional reputation.
It is important to avoid using confidential information that you may have learned while working for your former employer, as this could be considered unethical and even illegal.
In some cases, a non-compete agreement may be in place, which can restrict your ability to compete against a former employer or use the knowledge and skills you gained while working for them. It is important to review any employment agreements and consult with legal professionals to understand your obligations and limitations.
Additionally, it is important to consider the potential impact of your actions on your former employer, colleagues, and clients. Competing with a former employer could result in the loss of business and damage to their reputation, which could harm innocent parties.
In conclusion, competing against current and former work relationships is not always fair game and can raise ethical concerns. It is important to carefully consider the potential impacts of your actions and to take steps to avoid conflicts of interest and legal issues.
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How does the product life cycle theory relate to the modern world
Based on the life of a product theory, the United States eventually replaces other advanced nations as the primary location of global production after initially shifting from underdeveloped countries.
Relate product life cycle theory with modern world?The time between a product's release to the market but also its deletion from the shops is referred to as the "product life cycle."
This concept is used by management and marketing experts as a primary consideration when deciding if it is appropriate to improve advertising, cut pricing, enter new markets, or improve packaging. Similar to how people have life cycles, products also do.The life cycle of a product goes through four stages:
introduction, development, maturity, and decline.The product is then created, advertised, and launched. Although the products has not yet been made available to customers, some a product's life cycle models incorporate research and development as a stage.
An concept becomes a product, but under the constraints of contemporary business, it is unlikely to advance until it has undergone development and research (R&D) and been determined to be practicable and potentially profitable.
Thus, based on the life of a product theory, the United States eventually replaces other advanced nations as the primary location of global production after initially shifting from underdeveloped countries.
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a stock sells for $40. the next dividend will be $4 per share. if the rate of return earned on reinvested funds is a constant 15% and the company reinvests a constant 40% of earnings in the firm, what must be the discount rate? note: enter your answer as a whole percent.
The discount rate r= 16%
The Common Stock Valuation method is also simply referred to as the Value of the Stock Method and it is calculated taking different items such as growth rate of dividend, the dividend itself and number of periods into consideration
First, we identify the formula of rate of return where dividend inceases constantly and at a compound rate
P0 = Div1/ r-g
Where Po is the price of the stock, Div1 is the next year's dividend, r is the rate of return and g is the growth rate of the dividend,
Secondly, we look at the growth rate with there investment of 40% stock and a rate of return on reinvestment of 15% according to the question
Growth rate = r x e, where r is the rate of return and e is the reinvestment earning
Growth rate = 0.15 x 0.40 = 0.6
Finally, we calculate The rate of return or the discount rate using the first formula
P0 = Div1/ r-g
$40 = $4/r-0.06
r = ($4/$40) + 0.06
r= 16% or 0.16
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The __________ assures the payment of otherwise non-collectable court judgments against licensees who have committed fraud, misrepresentation, deceit, or conversion of trust funds in a transaction.
The SAFE act assures the payment of otherwise non-collectable court judgments against licensees who have committed fraud, misrepresentation, deceit, or conversion of trust funds in a transaction.
What is the SAFE act?This was the act in the United States that made it mandatory for houses to be registered and licensed.
The act is based on houses that are used as residences. The full meaning of the act is the Secure and Fair Enforcement for Mortgage Licensing Act.
The main purpose of the SAFE act is to try to ensure that consumers are protected and also help in the reduction of fraud. This would be done by setting a standard for licensing and the originators of mortgage loans.
Hence the correct answer to the question is the SAFE act.
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Question 6 of 10
A business must decide whether to open a new office in China. If it opens the
branch, it will increase its chances of selling a high volume of its products in
China. On the other hand, the business will have to spend a lot of money to
make the branch operational.
What would be an opportunity cost for the business if it chooses to open the
new branch in China?
A. The business would have to spend more money on each item it
produces.
B. The business would gain access to a large number of new
customers.
C. The business would have less money to open branches in other
countries.
D. The business would be forced to relocate all its workers to China.
Answer:
B. The business would gain access to a large number of new customers.
Explanation:
QUESTION 1 of 10: True or False: Specialty items are a great way to utilize leftover items that have not sold.
O a) True
Ob) False
CAN SOME ONE ANSWER MY QUESTION
Explanation:
Please help me to answer any of these questions! Thank you!
The relationship between age and credit scores appears to be negative, meaning that as age increases, credit scores tend to decrease. This could be because younger people have less credit history and fewer opportunities to establish credit, while older people may have more debt or negative marks on their credit report due to past financial decisions. Other factors that could help explain this relationship include income level, employment status, and financial education.
What is the relationship between age and credit scores?Generally, One possible reason for the rise in the percentage of people with scores of 620 or less in the 30-39 age group could be that this is a time in life when people are more likely to take on significant debt, such as a mortgage or car loan, while also juggling other financial responsibilities like childcare and saving for retirement. This can lead to higher credit utilization rates and a higher risk of missed or late payments, which can lower credit scores.
Despite some variation in credit scores across age groups, the data from the graph suggests that people from all age groups have room for improvement when it comes to credit management. For example, even among the 50 and older age group, where the percentage of people with scores of 620 or less is relatively low, more than a quarter of people still have scores that fall into this range. This highlights the importance of ongoing financial education and responsible credit management practices for people of all ages.
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Why is it important for o evaluate your advertising campaign when it is complete?
Answer:
A well-documented evaluation of your campaign builds credibility and respect. It helps determine if your ads are hitting the target audience, and what are their opinions and feedback on it.
Explanation:
The evaluation of your advertisement campaign helps in enhancing transparency and the report showcases the achievements you have attained during this and also helps showcase the entire campaign to every key stakeholder. It helps in building trust across the various departments in the company and enables them to measure the strengths and weaknesses of the campaign, in order to adjust for future campaign drives.
What should be the “tone” of an informal thank you letter?
Answer:
In the case of writing an informal thank you letter, the best way to show the gratitude that you want to express is through a cordial, warm and close tone, using informal but polite words that convey precisely the feeling of gratitude of the writer. Thus, distant or cold words should not be used, but rather words that bring the writer and the reader closer together.
What are three elements of negligence?
Actual Harm
Breach of duty
State of mind
Duty of care
Proximate cause
Motive
Answer:
actual harm
breach of duty
duty to act
Multiple choice-- finances/economics-- help!
Joseph wants to invest money for a very long time. He doesn’t need the money back within any specific timeframe. He would like a very low-risk investment because he doesn’t want to lose any money. Which type of investment will BEST fit Joseph’s needs?
Group of answer choices
certificate of deposit
bond
401k
money market mutual fund
Answer:
certificate of deposit.
Explanation:
Monetary policy can be defined as the actions (macroeconomic policies) adopted and undertaken by the central bank of a particular country to control the money supply and interest rates so as to boost or enhance economic growth. The central bank uses monetary policies to manage inflation, economic growth through long-term interest rates and level of unemployment in a country. In order to boost economic growth, monetary policy is used to increase money supply (liquidity) while it is also used to prevent inflation by reducing money supply.
Generally, money supply comprises of checks, cash, money market mutual funds (MMF) and credit (mortgage, bonds and loans).
In this scenario, Joseph wants to invest his money for a very long time and would like a very low-risk investment because he doesn’t want to lose any amount of money. Thus, the type of investment which will best fit Joseph’s needs is a certificate of deposit.
A bank certificate of deposit (CD) can be defined as a secured form of time-bound deposit and a special low-risk savings account, wherein money (lump-sum) are left with the bank for a specific period of time in exchange for an interest rate premium.
Generally, a certificate of deposit pays a higher interest rate to its holder than the regular savings account because the banks invest the money in a business.
Additionally, a bank certificate of deposit is protected and insured by the Federal Deposit Insurance Corporation (FDIC) for up to $250,000, eliminating the chance of a holder such as Joseph to lose any money.
Answer: it is NOT certificate of deposit
Explanation:
Just used that on the test and it was wrong
an employee can be dismissed if their job surplus to requirements' outline why this state ment is false
the following are the assets, liabilities and stockholders' equity balances in millions at december 31 in alphabetical order:
Total Assets equals $1,600, Retained Earnings equals $500, Total Liabilities plus Stockholders' Equity equals $1,600.
Total assetsStockholders' Equity=(Assets-liabilities)
Stockholders' Equity=($900+$700)-$500
Stockholders' Equity=$1,600-$500
Stockholders' Equity=$1,100
Retained earnings:
Retained earnings=Stockholders' Equity-Common stock
Retained earnings=$1,100-$600
Retained earnings=$500
Total Assets:
Total Assets=Cash+Equipment
Total Assets=$900+$700
Total Assets=$1600
Total Liabilities+Stockholders' Equit:
Total Liabilities+Stockholders' Equity=Account payable+Stockholders' Equity
Total Liabilities+Stockholders' Equity=$500+$1,100
Total Liabilities+Stockholders' Equity= $1,600
Therefore Total Assets equals $1,600, Retained Earnings equals $500, Total Liabilities plus Stockholders' Equity equals $1,600.
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The complete question is:
The following are the assets, liabilities, and stockholders' equity balances in millions at Dec. 31, 2018 in alphabetical order:
Accounts Payable: $500
Cash: 700
Common Stock: 600
Equipment: 900
Total Assets equals $
Retained Earnings equals $
Total Liabilities plus Stockholders' Equity equals
Evan incurred education-related expenditures related to his self-employment job. Under which of the following circumstances will Evan NOT be allowed to deduct these expenditures as a BUSINESS expense?
The course or courses meet the requirements necessary to keep his job.
The course or courses only improve Evan's skills in his existing business.
The course or courses qualify Evan for a new trade or business.
Evan incurred education-related expenditures related to his self-employment job. The course qualifies Evan for a new trade or business will Evan NOT be allowed to deduct these expenditures as a BUSINESS expense.
Business expenseBusiness expenses are costs incurred in the course of doing business. They may be used by both small and large organizations. The income statement includes business expenses. To calculate a company's taxable net income, business expenses are subtracted from revenue on the income statement.
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The Law of Demand states that as...
A. As prices increases Quantity demand increases
B.As price increases quantity demand decreases
C.Price changes have no effect on quantity
D.Price changes shift the demand left or right
Answer:
b is ur answer
Explanation:
Answer:
A
Explanation:
The more people want something the more valuable it is. Like when new shoes or the new PS or Xbox are released are cases of Law of Demand
what are the responsbilities of the hr department
Answer:
The key functions an HR department include labor law compliance, recruiting, staff training and development, payroll, record keeping and employee relations.
Explanation:
The human resources department handles many necessary functions of your business. It is instrumental in providing labor law compliance, record keeping, hiring and training, compensation, relational assistance and help with handling specific performance issues. These functions are critical because without those functions being completed, your company would not be able to meet the essential needs of management and staff.
The Two types of wills are:
- formal and holographic
- legal and fake
- formal and casual
- none of the above
newspaper vending machines illustrate the publishers’ belief that the:
Newspaper vending machines illustrate the publishers’ belief that the: marginal utility of a second identical newspaper is zero or less.
This indicates that after buying one newspaper, customers are unlikely to buy another one right away because doing so would not offer any value or enjoyment.
The fact that newspaper vending machines are built so that a customer can access all the papers in the machine after paying for one paper and take many papers at once lends credence to this concept.
This is in contrast to vending machines, which have a far higher marginal value than newspapers and sell items like sodas and snacks. The idea of marginal utility can be used to explain the distinction between the designs of soda and newspaper vending machines.
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the difference between group insurance and blanket health policies is
The main difference between group insurance and blanket health policies is: the coverage scope and the target population.
Group insurance typically provides health coverage to a specific group of people, such as employees of a company or members of an organization. It offers uniform benefits to all members, and the cost is generally shared between the employer or organization and the insured individuals.
On the other hand, blanket health policies are designed to cover a broader range of individuals, such as participants in an event or travelers on a specific trip. These policies offer coverage for a particular event or time period, and the benefits may vary depending on the nature of the event or trip. Blanket policies often do not require individual enrollment and provide coverage automatically to all eligible individuals within the specified group.
In summary, the main difference between group insurance and blanket health policies is that group insurance is geared towards a specific group of people with uniform benefits, while blanket health policies cater to a wider range of individuals and offer coverage based on specific events or time periods.
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Group insurance is where a group of individuals, typically employees, are covered under the same conditions, while blanket health policies cover a group of individuals on an individual basis, with varying coverage terms and limits.
Explanation:The primary difference between group insurance and blanket health policies lies within their application and scope. Group insurance typically implies coverage provided to a defined group of individuals, usually employees of a specific organization or members of a union. This type of insurance policy generally requires that all members of the group be covered under the same terms and conditions, and rates are based on the risk characteristics of the entire group.
On the other hand, a blanket health policy provides coverage to a group on an individual basis. This means each person in the group can have different terms, conditions, and coverage limits. Blanket health policies are often used by organizations that have members with varying health needs, like sports teams or school groups, where the risks can widely differ among the members.
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If mean lead time decreases but all other values remain the same, what will be the impact on the order point?
the order point will decrease
The delay between the start of a procedure and its conclusion is known as a lead time. For instance, the lead time between placing an order and receiving a new automobile from a certain manufacturer might range from 2 weeks to 6 months, depending on a number of specifics. The complete amount of time needed to create an item, including order preparation time, queue time, setup time, run time, move time, inspection time, and put-away time, is referred to as "manufacturing lead time" in one business lexicon. It is the period of time between when an order is released and when that order is produced and sent for made-to-order goods. It is the period of time between the release of an order and the manufacturing of and reception into completed goods inventory for make-to-stock products.
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