The statement is true. The upward slope of the short-run aggregate supply (SRAS) curve is generally explained by the sticky wage and price theory, which suggests that in the short run, wages and prices are fixed or sticky, meaning they cannot adjust quickly to changes in the economy.
Therefore, when the actual price level exceeds the expected price level, firms' production costs, such as labor costs, remain constant, while their revenue from selling output increases. As a result, firms' profits increase, which incentivizes them to increase production and supply more output. This positive relationship between the price level and the quantity of output supplied is depicted by the upward slope of the SRAS curve. Moreover, other factors such as input prices, productivity, and supply shocks can also affect the position of the SRAS curve. For instance, if input prices increase, firms' production costs will increase, and they will supply less output at every price level. This would shift the SRAS curve to the left, indicating a decrease in the quantity of output supplied at each price level. Similarly, if productivity increases, firms can produce more output with the same amount of input, which lowers their production costs and increases the quantity of output supplied at each price level, shifting the SRAS curve to the right.
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This paragraph consists of simple sentences:
The company’s research team traveled to Japan last winter. The group wanted to study ancient techniques for preserving documents. The research team had heard a lot about Osaka silk films. The team members visited many places. They found some good examples of wax-coated scrolls. The scrolls were in a library in Osaka. They did not come across any of those traditional silk films.The team members came back to Chicago. They were disappointed. The research team had nothing to show for their efforts.
Revise the paragraph in the space below to vary the syntax.
Answer: Last winter, the company’s research team members visited Japan. They were eager to explore ancient Japanese techniques for preserving documents. After visiting many places, the team found some fine examples of wax-coated scrolls in a library in Osaka. However, they couldn’t find the famous silk films that they wanted to see. Disappointed, they returned to Chicago .
The given the sentence was the converted the simple sentence was the company as the visited into the Japan as the share the experiences to the last winter.
What is sentences?The term sentence is to define the proper meaning of, to clarify. The sentence is the completeness of to clarify the proper meaning. The grammatical arranged to the represent are the writing style. The language was to convey to the thoughts, ideas, and the share the preferences.
Members of the company's research team traveled to Japan last winter. They were keen to learn about old Japanese document preservation procedures. After investigating numerous locations, the crew discovered some beautiful examples of putty scrolls in an Osaka library. However, they were unable to locate the famed silk films that they desired to see. They returned to Chicago, dissatisfied.
As a result, the given the sentence was the converted the simple sentence was the company as the visited into the Japan as the share the experiences to the last winter.
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you purchased a stock at a price of $42.17. the stock paid a dividend of $1.55 per share and the stock price at the end of the year is $47.77. what is the capital gains yield?
The capital gains yield for this stock is 13.29%, which means that the value of the investment increased by this percentage over the year.
The capital gains yield is a measure of the increase in the price of a stock over a given period, and it is calculated by dividing the change in the price of the stock by the initial price and expressing the result as a percentage. In this case, the initial price of the stock was $42.17, and the price at the end of the year was $47.77, which represents a change of $5.60. To calculate the capital gains yield, we can divide this change by the initial price and multiply the result by 100:
Capital gains yield = ($47.77 - $42.17) / $42.17 x 100
Capital gains yield = $5.60 / $42.17 x 100
Capital gains yield = 13.29%
Therefore, In addition to the capital gains, the investor also received a dividend of $1.55 per share, which would increase the overall return on the investment when factored in. It's important to note that capital gains yield is just one metric for evaluating the performance of a stock, and investors should also consider other factors such as the company's financial health, market conditions, and overall investment goals when making investment decisions.
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Underline the two items that are affected.
State whether each item is increasing or decreasing.
1.Sold office machinery for cash
2. Bought motor lorry for cash
3. Sold motor lorry for cash
4. Bought motor van by cheque
5. Bought office furniture by cheque
Which of the following best defines goal?
a. aim or purpose
b. disregard or disrespect
c. freedom from doubt
d. influence
You find a certain stock that had returns of 12.4 percent, −21.2 percent, 27.2 percent, and 3.2 percent for four of the last five years. Assume the average return of the stock over his period was 10.4 percent. What was the stock's return for the missing year? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.) What is the standard deviation of the stock's returns? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)
The standard deviation of the stock's returns is 15.75 percent.
To find the stock's return for the missing year, we can use the formula for average return. The average return is calculated by summing all the returns and dividing by the number of years.
Given that the average return over the period was 10.4 percent, we have the following equation:
(12.4 - 21.2 + 27.2 + 3.2 + x) / 5 = 10.4
Simplifying the equation, we get:
(21.6 + x) / 5 = 10.4
Multiplying both sides by 5, we have:
21.6 + x = 52
Subtracting 21.6 from both sides, we find:
x = 30.4
Therefore, the stock's return for the missing year is 30.4 percent.
To calculate the standard deviation of the stock's returns, we can use the following steps:
1. Calculate the deviation of each return from the average return. For example, the deviation for the first return of 12.4 percent is 12.4 - 10.4 = 2 percent.
2. Square each deviation.
3. Calculate the average of the squared deviations.
4. Take the square root of the average of the squared deviations.
Following these steps, we find the standard deviation to be:
√[(2^2 + (-10.8)^2 + 16.8^2 + (-7.2)^2 + (30.4)^2)/5] ≈ 15.75 percent.
Therefore, the standard deviation of the stock's returns is approximately 15.75 percent.
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Please help. Atleast the top 2
Answer:
Number 1 is Pure Market. Number two is socialist, I'm pretty sure.
Explanation:
Please mark me brainliest if someone else answers :>
The first insurance company in the United States was
The first insurance company in the United States was the Philadelphia Contribution ship for the Insurance of Houses from Loss by Fire, founded in 1752 by Benjamin Franklin and his associates.
The company was established in response to the frequent and devastating fires that occurred in colonial Philadelphia. Details are as follows:
Founding: The Philadelphia Contribution ship was founded on February 13, 1752, with a mission to provide financial protection to homeowners in the event of fire-related losses.
Structure: The company operated as a mutual insurance company, meaning it was owned by its policyholders rather than external shareholders. Policyholders shared the risk collectively and contributed to a common fund to cover losses.
Fire Insurance: The primary focus of the Contributions hip was fire insurance. It offered policies to homeowners to protect their houses, buildings, and other property from fire-related risks.
Premiums and Policies: Policyholders paid premiums to the company based on the value of their insured property. In return, they received a policy that detailed the terms and conditions of their coverage.
Growth and Legacy: The Philadelphia Contribution ship played a significant role in shaping the insurance industry in the United States. It set a precedent for the establishment of other insurance companies across the country.
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Which of the following best describes a
liability?
A. Something you own outright by yourself.
B. A debt that you owe to someone else.
C. Something that you could sell for money.
D. Something that makes you money.
The most accurate description of a liability is B. Something you owe somebody else.
Features of liabilityIn accounting, a liability means any financial obligation or debt owed by a business or person to another party.
Examples of liabilities include loans, mortgages, payables and taxes due. Liabilities represent a future sacrifice of economic resources as they demand that the entity repay the debt at a later date.
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Two countries, Country A and Country B, produce petroleum and seafood. A 4-column table has 2 rows. The first column is labeled country with entries Country A, Country B. The second column is labeled Cost (units) with entries 1, 1. The third column is labeled Petroleum (units) with entries 16, 8. The fourth column is labeled Seafood (units) with entries 8, 8. Based on the data in the table, has the absolute advantage in producing petroleum.
Answer:
Country A
Explanation:
Based on the data in the table, has the absolute advantage in producing petroleum is country A.
What is absolute advantage?
A country has an absolute advantage in the production of a good or service if it produces more quantity of a good when compared to other countries.
Looking at the table, Country A, produces 16 units of pertroluem while Country B produces 8 units. Thus, Country A has an absolute advantage.
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Which statement about junk bonds is true?
O They offer average interest yields even though the company's success is unknown.
O They offer low interest yields because the company is at a lower risk of default.
O They offer high interest yields because the company is at a greater risk of default.
O They offer high interest yields because the company is known to be successful.
Answer:
3
Explanation:
They are a big risk to the business
Answer:
The third one
Explanation:
a buyer for a department store orders sweaters about 6 months before the winter season. the store plans to hold a march clearance sale to sell any surplus goods by february 29. each piece costs $100 per pair and sells for $120 per pair. at the sale price of $60 per pair, it is expected that any remaining stock can be sold during the march sale. assume that a uniform probability distribution ranging from 250 to 450 items describes the demand. the expected demand is 300. in the context of the single period inventory system, the optimal order size q must satisfy the condition .....
a. P(demand ≤ Q*) = 1/2
b. P(demand ≤ Q*) = 1/3
c. P(demand ≤ Q*) = 1/4
d. P(demand ≤ Q*) = 1/5
The optimal order size q must satisfy condition b. P demand ≤ Q* = 1/3.
Periodic up-to-date is a gadget of up-to-date in which updates are made on a periodic foundation. This differs from perpetual date structures, wherein updates are made as seen fit. In a periodic deck system, no attempt is made up-to-date maintain records of both the up-to-date and the cost of goods offered.
A periodically updated gadget is a shape of updated valuation in which the up to date updated account is updated on the up to date of accounting duration up-to-date after each sale and purchase. The technique allows a commercial enterprise to date song it's beginning up-to-date and ending up to dates updated inside an accounting length.
The periodic up-to-date system is most beneficial for smaller corporations that hold minimum amounts of invenupupdated. For them, a physical up-to-date count number is a straight up to date, and they could estimate the price of goods offered figures for intervening time periods.
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definition of parternship
Answer:
A partnership is an arrangement where parties, known as business partners, agree to cooperate to advance their mutual interests. The partners in a partnership may be individuals, businesses, interest-based organizations, schools, governments or combinations
Select all of the benefits to buying a home.
Answer:
The value of the home generally increases over time
The quality of your home increases
Once the mortgage is paid in full you own the home
You can make improvements in the place
what is the importance of rigor and mortis in meat tenderizing
Explanation:
To keep tenderrrrrrrrr
Barbara and the bank signed a contract in which they agreed that the bank would loan $100,000.00 to Barbara to buy a car. She would then repay the loan by making monthly payments of $2,500.00 for 50 months. After 2 years of Barbara's making payments, she and the bank agreed that Barbara could sell her car to Dorothy who agreed to make all of the remaining payments which the bank accepted. This is an example of: A. A novation. B. An accord and satisfaction. C. A void contract. D. A voidable contract.
Answer:
Option A
Explanation:
A Novation is a form of contract in which the original contract is substituted by a replacement contract where by the new party agrees to accept all the debts to be paid as a part of the original contract.
In other way the original contracting party give all the rights and obligations to the new party
Hence, Option A is correct
Compare and contrast the exchange traded fund with a mutual fund
for the small investor?
ETFs and mutual funds both provide investment options for small investors, but ETFs offer greater flexibility in trading, lower expense ratios, and potentially more tax-efficient structures. Mutual funds, on the other hand, may offer a wider range of investment strategies and the ability to invest at the NAV price.
Both exchange-traded funds (ETFs) and mutual funds are popular investment options for small investors, but they have some key differences in their structure and features.
Structure:ETFs: ETFs are traded on stock exchanges, similar to individual stocks. They are created by financial institutions and can be bought or sold throughout the trading day at market prices.Mutual funds: Mutual funds are managed by investment companies and can only be bought or sold at the end-of-day net asset value (NAV) price.
Investment Strategy:ETFs: ETFs typically track a specific index, such as the S&P 500, and aim to replicate its performance. They are designed to provide exposure to a broad market or specific sectors or asset classes.
Mutual funds: Mutual funds can have various investment strategies, including actively managed funds that aim to outperform the market by selecting specific securities, or passively managed index funds that aim to replicate the performance of a specific index.
Cost:ETFs: ETFs generally have lower expense ratios compared to mutual funds, as they are passively managed and seek to replicate an index rather than actively select securities. Mutual funds: Mutual funds may have higher expense ratios, especially for actively managed funds, as they involve more intensive research and management.
Flexibility:ETFs: ETFs offer flexibility in terms of buying and selling throughout the trading day, allowing investors to implement different trading strategies such as limit orders, stop orders, and short selling.Mutual funds: Mutual funds are typically bought or sold at the end of the trading day, and investors receive the NAV price determined after market close.
Tax Efficiency:ETFs: ETFs are structured in a way that allows for more efficient tax management. Due to their creation and redemption process, ETFs can minimize capital gains distributions, resulting in potential tax advantages for investors.Mutual funds: Mutual funds are subject to capital gains taxes when the fund manager buys or sells securities within the fund, and these gains are passed on to the investors.
Ultimately, the choice between an ETF and a mutual fund depends on the investor's preferences, investment goals, and trading style.
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When would CBSA likely apply an Asertained Forfeiture?
The CBSA (Canadian Border Services Agency) is responsible for enforcing customs laws in Canada. Customs officers, who are CBSA personnel, can inspect and seize goods that violate Canadian law at the Canadian border.
The CBSA will use an Ascertained Forfeiture when goods are seized. What is meant by an Ascertained Forfeiture? An ascertained forfeiture is the legal process by which the CBSA can take ownership of imported goods seized at the Canadian border. An Ascertained Forfeiture is a process that allows the CBSA to forfeit goods that have been seized. Customs officers will issue a Notice of Seizure, which will explain the reasons for the seizure and the appeal procedure. The CBSA can choose to apply an Ascertained Forfeiture once the period for appealing the seizure has expired, and the owner of the goods has not filed an appeal or paid the required fees.
In the following cases, the CBSA is likely to apply an Ascertained Forfeiture: If the owner of the goods does not appeal the seizure within the timeframe provided, If the owner of the goods has appealed the seizure, but the appeal has been dismissed, If the owner of the goods has not paid the required fees or made the necessary arrangements for the return of the goods.
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what other options for jonathan besides delegating some of his tasks to others to reduce the number of hours he is working each day?
Jonathan can also try to prioritize his tasks and focus on the most important ones, while letting go of the less urgent ones. He can also try to streamline his work processes and find ways to work more efficiently, such as using technology or tools that can automate some of his tasks.
Another option is to negotiate with his employer for a more flexible work schedule or to work from home a few days a week, which can help reduce the time and stress associated with commuting. Additionally, Jonathan can try to improve his time management skills by setting clear goals and deadlines for himself, and breaking down larger tasks into smaller, more manageable ones. I hope this helps!
Other options for Jonathan besides delegating some of his tasks to reduce his working hours each day include:
1. Prioritizing: Jonathan can identify high-priority tasks and focus on them, while setting aside or eliminating low-priority tasks.
2. Time management: Jonathan can use tools like calendars and to-do lists to manage his time effectively, helping him work more efficiently.
3. Setting boundaries: Jonathan should establish clear work hours and avoid overworking by sticking to these hours.
4. Automating tasks: Jonathan can identify tasks that can be automated using technology, saving him time and effort.
5. Outsourcing: If delegation within his team isn't an option, Jonathan can consider outsourcing certain tasks to external service providers.
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what are some common tasks performed by Psychiatrists? (Select four options)
A administering first aid and life support care
B collaborating with other medical professionals
C maintaining patient information and records
D developing diagnostic imaging techniques
E prescribing, directing, or administering psychotherapeutic treatments or medications
F analyzing and evaluating patient data or test findings
Answer:
B, E and F and explanation I share you other thought about it
Explanation:
Psychiatrists are medical doctors who specialize in the treatment of mental health conditions. Some common tasks performed by psychiatrists include:
Conducting initial evaluations and assessments to diagnose mental health conditionsPrescribing and managing medications to treat mental health conditionsProviding individual, family, or group therapy to help patients manage their mental healthDeveloping and implementing treatment plans for patientsCollaborating with other healthcare providers to coordinate care for patientsProviding crisis intervention and support to patients experiencing mental health emergenciesConducting research to advance the field of psychiatry and improve treatment options for patients.please please help. i need 2,3, and 4 . it is due tomorrow
Answer:
2. Filing for bankruptcy is when the court decides whether to discharge your debts and those who owe are no longer legally required to pay them. It is on a credit report because it shows what you can pay for and what you can't.
3.Pay Your Bills on Time, Pay off Debt and Keep Balances Low on Credit Cards, and apply for and Open New Credit Accounts as Needed.
4.TransUnion, Equifax, and Experian.
Explanation:
When should a firm consider expanding from strictly domestic trade to international trade? When should it consider becoming further involved in international trade? What factors might affect the firms desicions in each case?
Answer: When they begin to get trades beyond how their previous annual turn over and international requests
Explanation:
Many businesses start from homes due to they can't afford to pay or rent a property yet while run their business. Businesses have different methods of operation, while some operate strickly domestically, others might want to either sell domestically too or do same alongside internationally.
A company can begin expanding or considering international trade on it's sales when they begin to receive large recommendation and request internationally.
The factors that might affect most cases always be fear and cost related. Fear of being kicked out of the market by competitors and cost in the sense of competitors beating his prices to give them a challenge.
Any firm should start consider expanding from domestic trade to international trade when its has already saturated the domestic market and needed to expand outside of the country for further growth opportunities.
Normally, a company can begin expanding its scale on international trade when they begin to receive large recommendation and request internationally.
Also, some of the factors that might affect them includes operation cost, trade barrier, competitors etc, in the international market etc
However, a firm should start consider expanding from domestic trade to international trade when its has already saturated the domestic market and needed to expand outside of the country for further growth opportunities.
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Suppose a University has an endowment of 42 million dollars placed in a bank account earning a real rate of interest (nominal rate of interest - inflation) of 2% per year. What is the maximum amount of annual withdrawal a university can make to sustain the real value of its endowment?
To calculate the maximum amount of annual withdrawal a university can make to sustain the real value of its endowment, we need to consider the concept of real interest rate.
Real interest rate is calculated by subtracting the inflation rate from the nominal interest rate. In this case, the nominal interest rate is 2% and let's assume the inflation rate is 1%. Therefore, the real interest rate is 1%.
To sustain the real value of the endowment, the university needs to ensure that its withdrawals do not exceed the real rate of return. If the university withdraws more than the real rate of return, the purchasing power of the endowment will decrease over time.
So, the maximum amount of annual withdrawal the university can make to sustain the real value of its endowment would be 1% of the endowment, which is $420,000 per year. This amount will ensure that the real value of the endowment remains intact, even after taking into account inflation. However, the university may choose to withdraw less than this amount to maintain a cushion for unexpected expenses or to grow the endowment over time.
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True/False: the national institute of standards and technology (nist) 800 series publications cover all nist-recommended procedures for managing information security.
**True**, the National Institute of Standards and Technology (NIST) 800 series publications cover all NIST-recommended procedures for managing information security.
The **NIST 800 series** is a set of documents that provide guidelines, recommendations, and best practices for various aspects of information security. These publications cover a wide range of topics, such as risk management, cybersecurity, and system security engineering. They aim to help organizations improve their security posture and comply with relevant regulations. By following the guidance provided in the NIST 800 series, organizations can ensure that they are adopting industry-standard practices for managing their information security effectively.
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Identify the accounting principle or assumption that best reflects each situation. Principle or Assumption Situation 1. Each business is accounted for separately from its owner or owners. 2. Revenue is recorded when products and services are delivered. 3. Information is based on actual costs incurred in transactions. 4. Financial statement details that would impact decisions are often disclosed in the footnotes. 5. A company records the expenses incurred to generate the revenues reported. 6. The life of a company can be divided into time periods, and useful reports can be prepared for those periods.
1. Separate Entity Principle
2. Revenue Recognition Principle
3. Cost Principle
4. Full Disclosure Principle
5. Matching Principle
6. Time Period Assumption
1. The situation reflects the Separate Entity Principle, which states that the business's financial transactions should be accounted for separately from the personal transactions of its owner or owners. This principle ensures that the business's financial position and performance are accurately represented.
2. The situation aligns with the Revenue Recognition Principle, which states that revenue should be recorded when products or services are delivered to customers and the amount is determinable. This principle ensures that revenue is recognized in the appropriate period when it is earned.
3. The situation corresponds to the Cost Principle, which states that financial information should be based on the actual costs incurred in transactions. This principle requires assets to be recorded at their historical cost, ensuring objectivity and reliability in financial reporting.
4. The situation reflects the Full Disclosure Principle, which states that financial statements should include all necessary information and any additional details that could impact users' decisions. Such information is typically disclosed in the footnotes to the financial statements.
The situation aligns with the Matching Principle, which states that expenses should be recorded in the same period as the revenues they help generate. This principle ensures that the expenses incurred to generate revenue are properly recognized, allowing for accurate determination of net income.
The situation corresponds to the Time Period Assumption, which assumes that the life of a company can be divided into specific time periods (e.g., monthly, quarterly, or annually). This assumption allows for the preparation of useful financial reports that cover these time periods, facilitating analysis, comparison, and decision-making.
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Write H if the resource is a human resource, and NH if it is a nonhuman resource. 1.Machines
2.Tools
3.Workers
4.Land
5.Water
6.Capital
7.Labor force
8.Time
9.Entrepreneur
10.Process
1.H
2.H
3.NH
4.NH
5.H
6.NH
7.H
8.NH
9.H
10.H
What are 5 reasons to open a checking account?
1. Convenience: Having a checking account gives you quick and easy access to your money whenever you need it. You can use it to pay bills, buy groceries or make other purchases.
2. Security: A current account is a safe way to store your money. The funds are FDIC insured, so your money is safe in the event of a bank failure.
3. Interest: Many checking accounts offer interest that allows you to earn money on your balance.
4. Record Keeping: A checking account provides an easy way to track your spending. Most banks provide online access to detailed records of your transactions.
5. Credit score: Having a checking account can help improve your credit score. It shows that you are responsible for your finances and can be a great way to build a positive credit history.
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Pls help it’s due tomorrow!
Answer:
A. Contact Information for Refrences.
Explanation:
Hi there! To me it makes the most sense because it has nothing to do with a carrer plan. Sure, refrences are benefical but they do not determine what can help you grow and succed in the workforce.
I hope this helps! Good luck! :)
what politician said, "... you may all go to hell and i will go to texas."?
The politician who famously said, "You may all go to hell, and I will go to Texas", was Davy Crockett.
Davy Crockett, a famous frontiersman, and politician, made this statement after losing his re-election bid to the U.S. Congress in 1835. This quote became popular when he was leaving his home state of Tennessee to fight in the Battle of the Alamo in Texas. Crockett's main answer was his determination to defend the cause of Texas independence, even if it meant facing death. His explanation conveyed his commitment to his beliefs and his willingness to face the consequences of his actions. He then decided to leave Tennessee and head to Texas, where he ultimately died at the Battle of the Alamo in 1836.
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How do plants obtain the water required for photosynthesis?
Answer:
from their roots
Explanation:
the roots dig into the ground and absorb water for the plant
Answer:
they obtain their water from the roots of the plant and roots take the water from the soil.
Ray has a budget of $$ 1940$ to rent a computer for his company office. The computer company he wants to rent from charges $$ 200$ for installation and service as a one-time fee. Then they charge $$ 116$ per month rental for the computer. How many months will Ray be able to rent a computer with this budget?
To determine the number of months Ray will be able to rent a computer within his budget, we need to subtract the one-time installation and service fee from his total budget and then divide the remaining amount by the monthly rental cost.
Remaining budget for monthly rentals: $1940 - $200 = $1740 Monthly rental cost: $116 Number of months Ray can rent a computer: $1740 / $116 = 15 months (rounded down) Therefore, Ray will be able to rent a computer for 15 months within his budget of $1940, considering the one-time installation and service fee and the monthly rental cost. To determine the number of months Ray will be able to rent a computer within his budget, we need to subtract the one-time installation and service fee from his total budget and then divide the remaining amount by the monthly rental cost. Ray has a budget of $$ 1940$ to rent a computer for his company office. The computer company he wants to rent from charges $$ 200$ for installation and service as a one-time fee. Then they charge $$ 116$ per month rental for the computer. How many months.
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