The option that is NOT true of most debt financing structures is option C) Generally issued in shares of stock.
What is the debt financing structures?The majority of debt financing structures do not require the issuance of stocks. Debt funding generally entails taking out loans from creditors or issuing bonds, with the understanding that the establishment will reimburse the borrowed sum plus interest within a predetermined time frame.
In contrast to equity financing, where shares of stock are issued, the lenders or bondholders are not granted ownership in the company.
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Which of the following is NOT true of most debt financing structures?
A) No ownership in the company.
B) 1st in line to assets of the company if it fails.
C) Generally issued in shares of stock.
D) Secured by the assets of the company.
Eli is buying a townhouse that costs $276,650. He has $28,000 in savings and earns $4,475 a month. Eli would like to spend no more than 30% of his income on his mortgage payment. Which loan option would you recommend to Eli? a. 30 year FHA, 3. 5% down at a fixed rate of 6. 5% b. 30 year fixed, 5% down at a fixed rate of 6. 25% c. 30 year fixed, 6. 5% down at a fixed rate of 5. 75% d. 30 year fixed, 10% down at a fixed rate of 5%.
The loan option which I would recommend to Eli is which there are 30 years fixed, 10% down at a fixed rate of 5%.
What is the interest rate?The quotient of a loan, that is charged as interest to the receiver, is typically expressed as an annual percentage of the loan outstanding.
Given data are:
Cost of buying a townhouse = $276,650
Savings = $28,000
Earns per month = $4,475
computation:When we take 10% down, fix rate than a cover for the down payment is:
cover for the down payment :
\(\text{Cover for the down payment}=\text{10\%}\times\text{Cost of House}\\\\\text{Cover for the down payment}=\dfrac{10}{100} \times\$276,650\\\\\text{Cover for the down payment}=\$27,665.\)
And, here monthly income is $4,475
So, the mortgage will be :
\(\text{Mortgage}=30\%\times\$4,475\\\\\text{Mortgage}= \$1,342.50.\)
So, by the balance of the mortgage is:
\(\$276,650 - \$27,665= \$248,985.\)
Hence, the total monthly repayment is:
Total monthly repayment:
\(\$248,985\times\dfrac{0.05}{12}+\dfrac{348985}{30\times12}\\\\=\$1729.08.\)
Therefore, option D is correct.
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In the _____ stage of the advertising development process, the Fallon team conducts research to determine whether or not consumer awareness of Arby’s range of protein offerings increased from pre-campaign levels.
Answer:
Evaluation Phase
Explanation:
It is at the evaluation stage of the advertising development process that the company will determine whether the campaign was effective.
What is the advertising assessment stage?It corresponds to the stage where consumers actually decide whether or not to make a purchase, so the marketing team is responsible for analyzing the effects of campaigns on sales.
Therefore, the evaluation phase is essential to determine the success of a campaign and its impact on consumers.
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given a two-year loan of $50,000 and an annual interest rate of 8 percent, how much interest will accrue during the life of the loan? (assume no principal payments during the term.)
$8,000 interest will accrue during the life of the loan. Interest is the payment of an amount above the principal sum by a borrower or deposit-taking financial institution to a lender or depositor at a specific rate.
How to calculate interest ?In finance and economics, interest is the payment of an amount above repayment of the principal sum by a borrower or deposit-taking financial institution to a lender or depositor at a specific rate by a borrower or depositor.
A customer would usually pay interest to borrow from a bank, so they pay the bank more than they borrowed; or a customer may earn interest on their savings, so they withdraw more than they originally deposited. In the case of savings, the customer is the lender, while the bank is the borrower.
It is calculated by multiplying the principal, rate of interest and the time period. The formula for Simple Interest (SI) is “principal x rate of interest x time period divided by 100” or (P x Rx T/100).
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A substantial imbalance between demand and response capability under conditions in which failure has important consequences refers to.
It should be noted that substantial imbalance between demand and response capability under conditions in which failure has important consequences refers to a arousal.
What is an arousal?Arousal can be regarded as a situation where by there is stress which makes failure to come in as a result of unbalances in demand and response capability.
And this usually takes place under stress.
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Linda purchased a washing machine and dryer set for $1,299 on a deferred payment plan. She needs to pay $80
per month for 6 months and the remaining balance in month 7. How much will Linda pay back in 6 months, and
what will the amount of her final payment be?
HELP PLEASE
Answer:
In six months, Linda will pay : $480
Final payments :$819
Explanation:
The monthly payments are $80 for six months.
For six months, Linda will have paid $80 times six months
=$80 x 6
=$480
The amount for her final payments will be the total of the two items minus the installment payments
=$1,299 - $480
=$819
1) Inflation represents the rate of increase of the average price of goods. If inflation decreases from 10% to 5%, does the average price of goods decrease? Explain.
No, the average price of goods does not decrease when inflation decreases from 10% to 5%.
Inflation represents the rate of increase in the average price of goods and services over time. When inflation decreases, it means that the rate of price increase has slowed down, but it does not imply a decrease in the average price itself. Even with a lower inflation rate, prices can still continue to rise, albeit at a slower pace.
The percentage of inflation indicates the extent of price increase compared to the previous period. If the inflation rate decreases from 10% to 5%, it means that prices are still increasing but at a slower rate. For example, if an item was priced at $100 at the beginning of the year, with a 10% inflation rate, its price would increase to $110. However, with a 5% inflation rate, the price would increase to $105. While the rate of increase has decreased, the average price of goods has not decreased.
Therefore, it is important to differentiate between a decrease in the inflation rate (a decrease in the rate of price increase) and an actual decrease in the average price of goods, which would indicate deflation.
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Suppose your garage and gardening were recently damaged by a thunderstorm. The buildings were built 4 years ago for $9,000, were expected to have a useful life of 12 years, and if built today would co
If a garage and gardening were recently damaged by a thunderstorm, then it is required to calculate the accumulated depreciation. The buildings were built 4 years ago for $9,000, were expected to have a useful life of 12 years, and if built today would cost $12,000.
The accumulated depreciation of an asset is the total amount of depreciation expense that has been recorded since the asset was acquired. Depreciation is an accounting method used to allocate the cost of a long-lived asset over its useful life. The useful life of an asset is the estimated number of years the asset will be useful to the owner.Suppose an asset is acquired for $9,000, is expected to have a useful life of 12 years and is depreciated using the straight-line method. Then, the annual depreciation expense would be $750, calculated as follows:Annual depreciation expense = (cost of asset - salvage value) / useful lifeAnnual depreciation expense = ($9,000 - $0) / 12 yearsAnnual depreciation expense = $750Therefore, the accumulated depreciation after four years would be $3,000, calculated as follows:Accumulated depreciation = annual depreciation expense x number of yearsAccumulated depreciation = $750 x 4 yearsAccumulated depreciation = $3,000The carrying value (or book value) of the asset is its original cost minus its accumulated depreciation. Therefore, the carrying value of the garage and gardening buildings would be $6,000, calculated as follows:Carrying value = cost of asset - accumulated depreciationCarrying value = $9,000 - $3,000Carrying value = $6,000If the garage and gardening buildings were damaged by a thunderstorm and were a total loss, then the insurance claim would be based on the replacement cost, which is $12,000. However, if the insurance policy only covers the carrying value of the buildings, then the insurance claim would be $6,000.
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distinguish between capital intensive and labour intensive
answer:
capital intensive
— industries require a greater amount of machinery to produce the product
labour intensive
— product requires a larger amount of human labor to bring it off
explanation:
ex:
capital intensive
— telecommunications, airlines, automobile manufacturing, oil production
labour intensive
— food service, hospitality, public education, agriculture
credits: online search!
the common stock of grimm companys has an expected return of 14.48 percent. the return on the market is 11.6 percent and the risk-free rate of return is 3.42 percent. what is the beta of this stock?
The beta of Grimm Company's common stock is approximately 1.35, indicating that the stock is more volatile than the overall market and has a higher potential return due to its increased risk.
How to determine the beta of this stockTo find the beta of Grimm Company's common stock, we can use the Capital Asset Pricing Model (CAPM) formula, which is:
Expected Return = Risk-Free Rate + Beta * (Market Return - Risk-Free Rate)
Given the information, we have:
Expected Return = 14.48%
Market Return = 11.6%
Risk-Free Rate = 3.42%
We can now rearrange the formula to solve for Beta:
Beta = (Expected Return - Risk-Free Rate) / (Market Return - Risk-Free Rate)
Plugging in the values:
Beta = (14.48% - 3.42%) / (11.6% - 3.42%)
Beta = (11.06%) / (8.18%)
Beta ≈ 1.35
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Which was the minimum capital requirement for market risk in the 1996 BIS Amendment? A. At least 2 times 5-day VaR with a 95% confidence levelB. At least 3 times 7-day VaR with a 97% confidence level C. At least 3 times the 10-day VaR with a 99% confidence level D. 1-day VaR with a 99% confidence level
The minimum capital requirement for market risk in the 1996 BIS Amendment was established as option A: At least 2 times the 5-day VaR with a 95% confidence level.
The correct answer is option a.
This amendment, introduced by the Basel Committee on Banking Supervision (BCBS), aimed to address market risk in banks' trading portfolios and ensure that they held sufficient capital to cover potential losses.
Value at Risk (VaR) is a risk management tool used to estimate the potential loss in a portfolio over a given period under normal market conditions, at a certain confidence level. In this case, the 5-day VaR with a 95% confidence level indicates the maximum expected loss over a 5-day period, with a 95% probability.
By setting the minimum capital requirement at 2 times the 5-day VaR with a 95% confidence level, the BIS Amendment sought to enhance banks' resilience to market fluctuations and reduce the probability of insolvency due to market risk exposure. This requirement allowed regulators to ensure that banks maintained adequate capital buffers to absorb potential losses arising from their trading activities, ultimately contributing to the stability of the financial system.
Therefore, the correct answer is option a.
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Have an imaginary conversation with your best friend. Write four (4) lines of dialogue about a business that you support or want to start supporting. Here’s the catch… you may NOT use the letter ‘E’ in ANY word in any line of dialogue!
100 Points
Business communication refers to the exchange of information within the workplace and with third parties.
What is Business Communication?Business communication refers to the exchange of information within the workplace and with third parties.Its goal is to improve organizational procedures and reduce errors. It is critical to improve both your communication abilities and processes in order to achieve excellent business communication. Business communication is communication that aims to help a company achieve a fundamental goal by sharing information among employees and people outside the company. Business communication refers to the sending and receiving of effective communications within a corporation, organization, or business. Business communication entails the exchange of information among members of an organization as well as between the organization and outside parties. Upward communication, downward communication, lateral communication, and external communication are the four major types.How ,do you do?
Many thanks; I'm fine.
What does your company claim?
My company is doing nicely.
Which industry you in?
trading in textile
I choose to begin in the same manner.
Oh, very well
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an independent review must be performed of all audits. group of answer choices true false
True. An independent review must be performed for all audits to ensure objectivity, accuracy, and compliance with relevant standards and regulations. This helps maintain the integrity and credibility of the audit process.
An independent review is a crucial part of auditing, as it helps ensure the accuracy and integrity of the audit process. The purpose of an independent review is to assess whether the audit was performed in accordance with the relevant auditing standards, as well as to identify any potential areas of concern or improvement. This review is typically conducted by a third-party individual or group, who are not involved in the audit process themselves. Overall, an independent review is an important safeguard for ensuring that audits are conducted fairly and accurately. Therefore, it is true that an independent review must be performed for all audits.
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Which of the following is NOT an application used in social business?
A. Communities
B. Crowdsourcing
C. Email
D. Social networks.
E. Blogs and wikis.
The application that is not used in social business is Communities.
This is because Communities is not an application.Community is just a term that is used to describe a group of people that are living in the same geographical area, often with similar interests or goals.However, Crowdsourcing is an application that is used in gathering information about people such as service providers or consumers.Email is a web application that is used to communicate with people far and near. It can be used to advertise and inform people about a product.Social networks: this is an application in which business owner can use to communicate with his customers or gather new clients. Blogs and wikis: this is also a web application that is used in writing about things or events. It can be used to store product description and promote it to the target consumers.Hence, in this case, the correct answer is option A. "Communities."
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By default, outlook will sort messages by date and by any conversation. Conversations area
In the outlook application, the conversation means the groups of messages between the same senders or recipients.
What is the outlook application?It is an application on windows that allows to send/receive email messages, manage calendar, store names, track tasks etc
Hence, in this application, the term conversation means the groups of messages between the same senders or recipients.
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Which aspect is an essential feature of a joint venture between two companies that come together for global trade?
A.
shared production facilities
B.
shared marketing staff
C.
shared workspaces
D.
joint equity ownership
Answer:
D. joint equity ownership
Explanation:
The aspect that is an essential feature of a joint venture would be joint equity ownership. That is because in a joint venture all parties combine all of their resources and share in both the liability and profits of the company. Joint Equity Ownership is the main part of this as it explains how these companies joint their assets in order to make as much profit as possible from their business venture.
organization formed mainly by traders and manufacturers to cater for the interest of their members is
Answer:
A trade association
Explanation:
A trade association is an organization or a group founded by businesses in the same industry. A trade association is created to assist in coordinating activities that improve the welfare of its members. By uniting in an association, firms can lobby for a better business environment from the government.
A trade association allows members to bond and network. It presents an opportunity for members to strategize and exchange important business information.
Companies purchase inventory that is primarily in finished form and ready for resale to customers.a. Trueb. False
The given statement "Companies purchase inventory that is primarily in finished form and ready for resale to customers" is true because Companies purchase inventory that is primarily in finished form and ready for resale to customers, such as goods that have already been manufactured and packaged for sale.
Inventory refers to the goods that a company has on hand and available for sale to customers. Companies typically purchase inventory that is already in finished form and ready for resale, rather than raw materials or unfinished goods that require further processing. Examples of finished goods inventory include products that have been manufactured, packaged, and are ready for shipment to customers.
For companies that engage in retail sales, finished goods inventory is a critical component of their business operations, as it allows them to meet customer demand and generate revenue. Effective inventory management is essential for ensuring that a company has the right products available at the right time, while minimizing costs and reducing the risk of excess or obsolete inventory.
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Why is it important to be aware of your direct and indirect competitors? What will you do to gain a competitive advantage and stand out
Answer:
Why is it important to be aware of your direct and indirect competitors? What will you do to gain a competitive advantage and stand out
It's also important to continuously monitor and analyze your competitors' activities, so you can stay abreast of any changes in the market and adapt your own strategy accordingly. This could involve regularly checking your competitors' websites, social media accounts, and other online platforms to see what they are doing, as well as keeping an eye on industry news and trends.
In addition to staying informed about your competitors, it's also important to regularly review and assess your own business's strengths, weaknesses, opportunities, and threats (also known as a SWOT analysis). This can help you identify areas where you can improve and areas where you have a competitive advantage, so you can make informed decisions about how to position your business in the market.
Why might a business owner prefer to start a business in a laissez-faire economy? A. because the government will offer incentives for new business owners B. because the government makes all decisions, it is easier for business owners C. because it does not include things like taxes, tariffs, or any type of regulation D. because it has financial regulations that benefit start-up businesses
Answer:
D. because it has financial regulations that benefit start-up businesses
Explanation:
In a laissez-faire economy, the government does not interfere with economic activities of such as production, consumption, or private contracts. The government focuses on enforcing law and order, providing public goods, and regulating activities in the country.
Starting a new business in a laissez-faire economy assures an entrepreneur of fair business practices due to government regulations. The business owner will be confident when entering into contracts as the government enforces them.
Answer:
The correct answer would be C
Explanation:
Laissez-faire doesn't include things like taxes, tariffs, or any type of regulation and that's why businesses like to start with Laissez-faire.
automated call distributors (acds) often collect data to measure help desk and agent performance.
A. True B. False
A. True. Automated call distributors (acds) often collect data to measure help desk and agent performance.
Automated call distributors (ACDs) are used in call centers to manage incoming calls and distribute them to agents. ACDs often collect data on factors such as call volume, average handle time, and customer satisfaction to measure help desk and agent performance. This data is then used to identify areas for improvement and to optimize call center operations.
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terry dactel is considering the purchase of an asset having the following cash flows: ki prob. -$600 .20 $900 .30 $1100 .30 $400 .20 what is the standard deviation of the asset's cash flows?
a. $265 b. $380 c. $490 d. $630 e. none of the above are correct
The standard deviation of the asset's cash flows is $630. Therefore, the correct option is D.
The standard deviation of Terry Dactel's asset's cash flows can be calculated using the following steps:
Step 1: Find the expected cash flow (E) by multiplying each cash flow by its probability and summing the results:
E = (-$600 × .20) + ($900 × .30) + ($1100 × .30) + ($400 × .20) = -$120 + $270 + $330 + $80 = $560
Step 2: Calculate the variance by multiplying the squared difference between each cash flow and the expected cash flow by its probability, and summing the results:
Variance = ((-$600 - $560)² × .20) + (($900 - $560)² × .30) + (($1100 - $560)² × .30) + (($400 - $560)² × .20)
= ((-1160)² × .20) + (340² × .30) + (540² × .30) + (-160² × .20)
= 1,344,000 × .20 + 115,600 × .30 + 291,600 × .30 + 25,600 × .20
= 268,800 + 34,680 + 87,480 + 5,120
= 396,080
Step 3: Find the standard deviation by taking the square root of the variance:
Standard Deviation = √396,080 ≈ $630
The standard deviation of the asset's cash flows is approximately $630, which corresponds to option D.
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Why is the fed often referred to as a "lender of last resort," or the last lender to turn to in a crisis?.
Answer:
It offers banks financial protection to keep consumers from panicking.
Explanation:
A lender of last resort is the organization in a business system that serves as the provider of liquidity to a business company which finds itself incapable to achieve enough liquidity in the interbank lending market and other facilities or sources have been consumed.
Can you give me brainliest please?
Answer:
It offers banks financial protection to keep consumers from panicking.
Explanation:
In comparing the b2b and b2c buying processes:
O the b2b process is more complex, but usually the buying is done by a purchasing agent which makes it easier for marketers.
O B2B buying is often as Impulsive as B2C frequently due to the persuasive power of good sales representative.
O B2C begins with need recognition, while B2B begins with product or services specification.
O The B2B process has more discrete steps, though once relationship is established and the buyer is satisfied with the current goods, many steps can be eliminated
O All of the above
In comparing the b2b and b2c buying processes (D) All the above.
B2B: Since purchasing a good or service involves business-related goals, the transaction requires careful study, more thought, and continued support from the seller. Numerous business divisions are impacted by the choice. B2C: The purchase is typically based more on emotion than on reason.
Business-to-business, or B2B, refers to a particular kind of transaction that happens between two businesses. The term "business-to-consumer" (B2C) refers to a transaction that happens between a company and a single customer.
B2B e-commerce makes use of online channels to market to other businesses. B2C e-commerce focuses on individual customers. A B2B company might be one that sells office supplies, software, or papers to other businesses. In general, B2B e-commerce is more complicated than B2C e-commerce.
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Please help I'm about to fail my class and i will be grounded for life, 100 pts for it! its financial literacy
Part One–Research
Imagine you bought 100 shares of stock three years ago and are selling it today. Select a company and research its stock prices. You can start with websites like Nasdaq and Fidelity. Determine the stock's price three years ago, or the purchase price, and its price today, or the selling price.
Part Two–Determine the Real Return
Calculate the real return of your stock investment using the following information:
Purchase price of 100 shares of stock
Selling price of 100 shares of stock
10% tax rate
3% inflation rate
2% administrative fee on the selling price of the stock
Part Three–Evaluate
Analyze your research and calculations, and answer the following questions:
What company did you select to buy stock in? Why did you select the company?
Consider the real return of the stock investment. Do you consider it a wise investment? Why or why not?
1. I imagine buying 100 shares of Amazon.com Inc. on January 3, 2020, when the stock price was $93.75, investing $9,375.
Today, October 31, 2022, the stock price of Amazon.com Inc. is $102.44.
2. The real return on my investment in Amazon.com Inc was a net loss of 7.12% or $667.60.
3. The company I selected to buy its stock three years ago was Amazon.com Inc.
4. I decided on Amazon.com Inc., hoping to earn spectacular returns since it is a multinational technology company.
5. When I consider the actual return on the stock investment in Amazon.com Inc., I think it was an unwise investment.
6. The investment returned a negative real value because I realized less than I initially invested; I actually lost about $667.60 overall.
What is the stock investment?Stock investment is the purchase of shares for an ownership interest in a publicly-listed company.
The investor makes the investment with the hope that the investee will grow and perform well over some period, enabling the investor to earn some real returns (in the form of dividends and capital appreciation).
Purchase of 100 shares Jan. 3, 2020 = $9,375 (100 x $93.75)
Sales of 100 shares Oct. 31, 2022 = $10,244 (100 x $102.44)
Tax (10%) = $1,024.40 ($10,244 x 10%)
Inflation (3%) = $307.32 ($10,244 x 3%)
Administration fee on sales (2%) = $204.88 ($10,244 x 2%)
Real Returns in dollars = $8,707.40 ($10,244 - $1,024.40 - $307.32 - $204.88)
Loss on returns = $667.60 ($8,707.40 - $9,375)
Loss percentage = 7.12% ($667.60/$9,375 x 100)
Unfortunately, Amazon.com Inc. did not pay any dividends during the period of my investment, and I really lost funds to taxes, inflation, and administration fees when I sold it.
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In the month of June, a department had 20,000 units in beginning work in process that were 70% complete. During June, 90,000 units were transferred into production from another department. At the end of June there were 10,000 units in ending work in process that were 40% complete. Materials are added at the beginning of the process, while conversion costs are incurred uniformly throughout the process. The equivalent units of production for conversion costs for June were
Answer:
Equivalent units of production for conversion costs for June were :
104,000 units - Weighted Average Cost method
90,000 units - FIFO method
Explanation:
If Weighted Average Cost method is used for this question.
Conversion Costs
Units Completed and Transferred (100,000 x 100%) 100,000
Units In Ending Work In Process (10,000 x 40%) 4,000
Total Equivalent units of production 104,000
If FIFO method is used for this question.
Conversion Costs
To finish Opening Work In Process (20,000 x 30%) 6,000
Started and Completed (80,000 x 100%) 80,000
Units In Ending Work In Process (10,000 x 40%) 4,000
Total Equivalent units of production 90,000
Why is the first floor usually framed before the foundation is backfilled?
The first floor is usually framed before the foundation is backfilled to help the foundation withstand pressure. a series of parallel, horizontal framing members that make up the body of the floor frame. They transfer the building load to the sill plates and girders.
A foundation is the foundation of something. We hear a lot about building foundations, but good ideas are also the foundation of a successful company. In the simplest sense, foundations support something else.
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3.) A special cereal mixture contains rice, wheat and corn in the ratio of
2:3:5. If a bag of the mixture contains 3 pounds of rice, how much corn
does it contain?
Answer:
7.5
Explanation:
Let R = rice.
Let W = wheat.
Let C = corn.
Let X = special cereal mixture
Given the following data;
Ratio of rice, wheat and corn = 2:3:5
Total quantity of rice = 3 pounds.
Ratio = 2 + 3 + 5 = 10
For rice;
2/10 * X = 3
Cross multiplying, we have;
2X = 30
X = 30/2 = 15
Therefore, the total quantity of the special cereal mixture is 15 pounds.
To find the total amount of corn;
C = 5/10 * 15
C = 75/10
C = 7.5 pounds.
Hence, the special cereal mixture contains 7.5 pounds of corn.
To find the total amount of wheat;
W = 3/10 * 15
W = 45/10
W = 4.5 pounds.
Check;
Special cereal mixture = rice + wheat + corn.
Special cereal mixture = 3 + 4.5 + 7.5
Special cereal mixture = 15 pounds.
Answer:
7.5 pounds of corn.
Explanation:
Rice=2x -> 3 pounds
Wheat=3x
Corn=5x
2x=3
x=1.5
5*1.5
=7.5
What is the term for a variety of activities designed to stimulate a trial or
purchase?
A. Sales promotion
B. Advertising
C. Public relations
D. Personal selling
Answer:
I think B.Advertising
Answer:
Sales Promotion
Explanation:
Just took the test.
current year stock dividends and splits require retroactive restatement of eps for all prior years presnted in comparaitive financial statements T/F?
The statement "current year stock dividends and splits require retroactive restatement of earnings per share (EPS) for all prior years presented in comparative financial statements." is true as it helps in maintaining consistency and comparability across different reporting periods.
When a company issues stock dividends or executes stock splits in the current year, it can impact the earnings per share (EPS) for all the prior years presented in comparative financial statements. This is because the number of shares outstanding changes due to the stock dividends or splits, which in turn affects the EPS calculation.
As a result, companies are required to retroactively restate their EPS figures for all prior years presented in their comparative financial statements to ensure consistency and accuracy in reporting. For example, if a company had issued a 2-for-1 stock split in the current year, the number of shares outstanding would have doubled.
Therefore, the EPS for the prior years would need to be recalculated by dividing the earnings by the new higher number of shares outstanding. This is important for investors to understand the impact of the stock dividends or splits on the company's historical performance.
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Distinguish between Economic and Non-economic activities on the
basis of
(i) Purpose
(ii) Outcome
The difference between economic and non-economic activities can be drawn clearly on the following grounds:
An activity related to production and consumption of goods and services for economic gain is known as economic activities. An activity performed gladly, with the aim of providing services without any regard to monetary gain is known as the non-economic activity.Economic activities are performed for economic motive, i.e. earning profit. On the other hand, non-economic activities are performed due to social or psychological reasons, i.e. out of love, affection etc.The measurement of economic activities is in monetary terms, whereas non-economic activities lack money measurement.Economic activities have a pragmatic approach, in essence, it deals with things in a practical way. As against this, non-economic activities have an idealistic approach wherein more importance is given to human values instead of money.Economic activities result in creation and accumulation of wealth as they are done to earn profit. Unlike non-economic activities which result in mental satisfaction and happiness.Economic activities are very important for the economy as they add value to the country’s gross domestic product (GDP). As opposed to non-economic activities, which have no influence over country’s national income.