How many years will it take for an initial investment of $19,000 to grow to $35,300 if it is compounded daily at 12 pr?

Answers

Answer 1

It will take 7.15 years for an initial investment of $19,000 to grow to $35,300 if it is compounded daily at 12 pr.

Compounding is the process whereby interest is credited to an existing principal amount as well as to interest already paid. Compounding thus can be construed as interest on interest the effect of which is to magnify returns to interest over time, the so-called “miracle of compounding.

Initial investment = $19000

amount = $35300

rate of interest = 12%

time = (1÷0.12) (35300/ 19000) -1 = 7.15

= 7.15 years.

A 10% interest rate will double your investment in about 7 years (72 ∕ 10 = 7.2); an amount invested at a 12% interest rate will double in about 6 years (72 ∕ 12 = 6). Using the Rule of 72, you can easily determine how long it will take to double your money.

In reality, a 10% investment will take 7.3 years to double ((1.107.3 = 2). The Rule of 72 is reasonably accurate for low rates of return. The chart below compares the numbers given by the Rule of 72 and the actual number of years it takes an investment to double.

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Related Questions

in one such delievery center parcels are placed in a sequence where the ith parcel has a weight of weight[i]

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The center wants to know the heaviest parcel and its weight. In one such delievery center parcels are placed in a sequence where the ith parcel has a weight of weight

One approach to solve this problem is to use a linear search algorithm. We can loop through the weight array and compare each element with a variable that stores the maximum weight encountered so far. If the current element is greater than the maximum weight encountered so far, the variable is updated with the current element. At the end of the loop, the variable will contain the heaviest parcel weight.

Time complexity: O(n)

Space complexity: O(1)

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A writer, an illustrator, a publisher and an agent would form a
a. Functional team
b. Cross-functional team
C. Management team
d. Corporate team

Answers

Answer:

B. Cross-functional team

Explanation:

A writer, an illustrator, a publisher, and an agent would form a Cross-functional team. The correct option is B.

What are cross-functional skills?

A Cross-Functional Candidate, according to Glassdoor, is a candidate with jack-of-all-trades abilities. In other words, a candidate with cross-functional skills is someone who is proficient in one or more related technologies or skills while also being knowledgeable in other technologies or skills.

Working cross-functionally, also referred to as working with teams other than your own, will inevitably occur at some point in your career. And doing it well can inspire innovative ideas, enhance your ability to interact with others, and improve your workplace's culture, productivity, and happiness.

Thus, the ideal selection is option B.

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You just started your first full-time job, and one of the benefits is a retirement savings plan. Someone in the human resources department is going over your benefits and says that you have make choices about how the retirement savings plan is invested. She gives you some papers to read and asks you to stop by and let her know your choices when you come to work tomorrow. What must you consider as you read the information and make your choices? Answer in complete sentences.

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I need to be aware that investment options and the market conditions can change over time, and I should regularly review and adjust my investment choices as to ensure I am on the track to meet my retirement goals.

What is retirement?

Retirement is a phase in a person's life when they choose to stop working or reduce their work hours. It is a time when people typically have reached a certain age, have accumulated enough savings or investments, and are ready to leave the workforce. Retirement can be a voluntary decision or forced due to health issues or other reasons. During retirement, individuals can pursue hobbies, travel, spend time with family and friends, and engage in leisure activities they did not have time for while working. Retirement also involves careful financial planning to ensure that one's income will be sufficient to support their lifestyle and cover expenses, such as healthcare and housing. Many people also choose to seek advice from financial planners and other professionals to help them navigate this phase of life.

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Suppose that a manager is managing a portfolio whose benchmark is the Barclays Capital Intermediate Aggregate Index, which has duration of 4.68. Suppose the market value of the portfolio on March 31, 2018 was $48,559,815. The portfolio duration is 2.97. Suppose the portfolio manager seeks to follow a duration matched strategy and therefore the portfolio’s target duration is the benchmark duration.
Explain how this can be done with the buying or selling of a $100,000 5-year Treasury note futures contract at price $112.79, and dollar duration of $6022. Show all calculations.
(10 marks)

Answers

The portfolio manager should sell 1362 Treasury note futures contracts with a dollar value of $136,200,000 to achieve a duration match with the benchmark.

To implement a duration-matched strategy, the portfolio manager aims to adjust the portfolio's duration to match the benchmark duration. In this case, the benchmark duration is 4.68, while the portfolio duration is 2.97.

To calculate the change in portfolio duration, we can use the formula:

Change in Duration = (Portfolio Duration - Benchmark Duration) * Portfolio Value

Change in Duration = (2.97 - 4.68) * $48,559,815 = -$8,206,705.95

Now, let's calculate the number of Treasury note futures contracts required to offset this duration mismatch:

Number of Contracts = Change in Duration / Dollar Duration per Contract

Number of Contracts = -$8,206,705.95 / $6,022 = -1362.82

Since the number of contracts cannot be negative, the portfolio manager needs to sell 1362 contracts.

To calculate the dollar value of the futures contracts, we multiply the number of contracts by the contract size:

Dollar Value of Contracts = Number of Contracts * Contract Size

Dollar Value of Contracts = 1362 * $100,000 = $136,200,000

Therefore, the portfolio manager should sell 1362 Treasury note futures contracts with a dollar value of $136,200,000 to achieve a duration match with the benchmark.

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What are the business reasons behind john deere's offshoring of tractor production from the u. S. To other countries?

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Reasons for shifting production to other countries John Deere is a global leader in the tractor market and its strategic objective is to expand rapidly outside of North America. One of the ways to expand globally is to make the product closer to the target market

Offshoring is the practice of a firm moving its service and production operations to a different nation. A corporation with American roots, John Deere is well recognised for assembling and producing agricultural tractors.

Samuel Allen, the company's CEO, predicts that Offshoring the company's tractor manufacture overseas will boost overall sales to $50 billion by 2018, with half of that amount coming from nations other than the US and Canada. Offshoring production would aid in growing the business to a worldwide scale in addition to boosting revenue.

Due to differences in time zones, the company's production processes and services would be available around the clock. The cost of manufacture would also be reduced by offshore tractor production.

The business would stop paying the costs of transporting tractors from the base production site to foreign nations. The need to exert more control, an effort to reduce risks, and a desire to concentrate on business development are some further justifications for outsourcing.

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Erica sells magazine subscriptions and makes a flat rate of $5. 35 for each subscription she sells. If Erica made $42. 80 on Monday, $64. 20 on Tuesday and $74. 90 on Wednesday, how many subscriptions did she sell in the three days? a. 32 b. 33 c. 34 d. 35 Please select the best answer from the choices provided A B C D.

Answers

The number of subscriptions she sell in three days is 34. The calculation is done by dividing the money earned with the rate per subscription.

What is division?

Division is one of the four basic operations in math. It is used to calculate the number of small units that can be obtained from a larger unit. In the given question, the amount of earning is divided by the rate per subscription to calculate the number of subscriptions sold.

Calculation:

Given:

\(\begin{aligned} \rm Rate\:per\:subscription &= \$5.35\\ \\ Money\: earned\: on\: Monday &= \$42.80\\ \\ Money\:earned\:on\:Tuesday &= \$64.20\\ \\ Money\:earned\:on\:Wednesday &= \$74.90\\ \\ Total\: money\: earned \:in \:three \:days &= \$42.80 + \$64.20 +\$74.90\\\\ &=\$181.90\end\)

Therefore, number of subscriptions sold in three days will be:

\(\begin{aligned} \rm Number\:of\:subscriptions &=\rm \dfrac{Total\:money\:earned}{Rate\:per\:subscription}\\ \\ \rm Number\:of\:subscriptions &= \dfrac{181.90}{5.35} \end\)

Hence the number of subscriptions Erica sell in three days is 34.

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Are there any troubling aspects on the Form 990 for nonprofit organizations?

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Yes, there can be troubling aspects on the Form 990 for nonprofit organizations, such as discrepancies in financial reporting, inadequate documentation, or failure to comply with reporting requirements.

The Form 990 is a comprehensive reporting document that nonprofits in the United States are required to file annually with the Internal Revenue Service (IRS). While it serves as a tool for transparency and accountability, it can also reveal potential issues or areas of concern.

Some troubling aspects may include discrepancies in financial reporting, such as inconsistencies in revenue or expenses, which could raise questions about the organization's financial management or potential mismanagement of funds. Inadequate documentation of transactions or lack of proper record-keeping can also be problematic, as it may hinder the ability to accurately assess the organization's financial activities and compliance with regulations.

Noncompliance with reporting requirements is another troubling aspect. Nonprofits must provide detailed information about their activities, governance, and executive compensation on the Form 990. Failure to provide accurate and complete information, or deliberate omission of required disclosures, can result in penalties and damage the organization's reputation.

It's important for nonprofits to ensure that they maintain proper financial controls, accurate record-keeping, and comply with all reporting requirements to avoid troubling aspects on the Form 990 and maintain the trust of stakeholders.

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There are a number of factors that must be considered when determining the correct cutting speed and feed rate, including the ____.

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When determining the correct cutting speed and feed rate, we need to consider the lathe's condition, material machine and cutting tools.

There are many variables that need to be taken into consideration when determining the correct cutting speed and feed rate. Some of the main variables include the condition of the lathe, material of the machine being worked, and the type of cutting tools being used.

Lathe's condition: Lathe condition is critical in the machining process. A machine in good working condition should be used, because a worn-out lathe could lead to unexpected results.

Material machine: The material of the machine being worked should also be considered when determining the cutting speed and feed rate. It is critical to use the appropriate cutting tools for the particular material in order to get the desired results

Cutting tools: The type of cutting tool being used should also be taken into account. Different cutting tools may require various speeds and feed rates in order to get the desired results.Thus, Lathe's condition, Material machine and cutting tools are some of the factors that should be considered while determining the right cutting speed and feed rate.

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in your own words, why do you think it is important to write a cover letter?

PLEADF IM SO DESPERATE

Answers

Answer:

no not really

Explanation:

but in most cases they are important

Why are interest groups important to our political system ?

Answers

Interest organizations also keep tabs on governmental action, allow members to participate in politics, and inform both the general public and parliamentarians.

General Public was an English new wave band with members who had previously been in Dexys Midnight Runners, the Specials, and the Clash. The group was founded in Birmingham in 1983 by vocalists Dave Wakeling and Ranking Roger of the Beat. They are well known for their 1984 song "Tenderness." The general public is a term that can be used to describe the members of a society, particularly when comparing them with a particular small group. These organizations rely on the generosity and compassion of the general public. Broad Public Use refers to a Nongovernmental Person using Financed Property for general public purposes. The general public is one type of public, which consists of people who indirectly use the products or services of a non-profit organization. The parents of students and alumni, for instance, can be regarded as members of the general public in the context of educational institutions.

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which factors help explain why the austin metro area has a higher average income than other major metro areas in texas?

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The factor that helps explain why the Austin Metro Area has a higher average income than other major metro areas in Texas are many big firms located in the area.

This is because the Austin Metro Area comprises many big firms that cut across all industry sectors. This area is known to have the largest employers within the City of Austin.

Aside from the government as the major employer in the area, some other top firms in these areas include Advanced Micro Devices, Apple, Inc., Austin Independent School District, IBM, Ascension Seton Healthcare Network, St. David's HealthCare Partnership, Samsung Austin Semiconductor, the University of Texas at Austin, etc.

Hence, in this case, it is concluded that the Austin Metro Area has a higher average income than other major Metro Areas in Texas because it is home to many top industries.

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Southern Rim Parts estimates its manufacturing overhead to be $396,000 and its direct labor costs to be $990,000 for year 1. The first three jobs that Southern Rim worked on had actual direct labor costs of $58,000 for Job 301, $83,000 for Job 302, and $140,000 for Job 303. For the year, actual manufacturing overhead was $434,000 and total direct labor cost was $841,000. Manufacturing overhead is applied to jobs on the basis of direct labor costs using predetermined rates. Overhead applied in each of the inventory accounts is as follows: Work-in-process inventory $ 33,640 Finished goods inventory 84,100 Cost of goods sold 218,660 Required: Prepare an entry to prorate the under- or overapplied overhead. (If no entry is required for a transaction/event, select "No journal entry required" in the first account field.)

Answers

Answer:

Southern Rim Parts

Journal Entry:

Account Title                        Debit           Credit

Work-in-process inventory  $9,760

Finished goods inventory   24,400

Cost of goods sold              63,440

Manufacturing overhead                      $97,600

To record the prorated under-applied overhead cost.

Explanation:

a) Data and Calculations:

Estimated manufacturing overhead = $396,000

Estimated direct labor costs = $990,000

Actual manufacturing overhead = $434,000

Actual direct labor costs =  $841,000

Predetermined overhead rate = estimated overhead/estimated direct labor costs = $396,000/$990,000 = $0.40 per DL

Applied overhead:

Work-in-process inventory $ 33,640

Finished goods inventory 84,100

Cost of goods sold 218,660

Total overhead applied = $336,400

Underapplied overhead = $97,600 ($434,000 - $336,400)

Prorating the underapplied overhead to:

Work-in-process inventory $33,640/$336,400 * $97,600 = $9,760

Finished goods inventory 84,100/$336,400 * $97,600 = $24,400

Cost of goods sold 218,660/$336,400 * $97,600 = $63,440

Total underapplied overhead = $97,600

How did the Virginia Company make money for England? (3 points) a Colonized the west coast of North America b Colonized the east coast of North America and sent resources back to England c Visited the east coast of North American and sold goods to settlers d Visited the west coast of North America.

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The Virginia Company made money for England by colonizing the east coast of North America and sending resources back to England. These resources included tobacco, timber, fur, and other natural resources that were in high demand in England.

The Virginia Company was established in 1606 by King James I of England with the aim of establishing settlements in North America. The company had two divisions, the London Company, and the Plymouth Company. The London Company was tasked with colonizing the coast of North America from present-day Maine to South Carolina.

The Virginia Company made money for England by colonizing the east coast of North America and sending resources back to England. These resources included tobacco, timber, fur, and other natural resources that were in high demand in England.

In 1612, John Rolfe successfully cultivated tobacco in Virginia, which became the most lucrative commodity for the Virginia Company. Tobacco became so popular in England that it was called “brown gold”. The Virginia Company sold tobacco to England at a high profit, which helped to generate significant revenue for England.

The Virginia Company also established a headright system in which settlers who paid their way to Virginia were granted 50 acres of land. This encouraged more people to move to Virginia, which led to the growth of the colony and increased the production of tobacco and other resources that the Virginia Company could sell for profit.

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What is the maximum output that the economy can sustain over a period of time called? O A. productive capacity O B. economic output O C. controlled incentive O D. maximum spending​

Answers

Answer:

A. Productive capacity

Explanation:

The treasurer of Systems Company has accumulated the following budget information for the first two months of the coming year:March AprilSales. $450,000 $520,000Manufacturing costs 290,000 350,000Selling and administrative expenses 41,400 46,400Capital additions 250,000 ---The company expects to sell about 35% of its merchandise for cash. Of sales on account, 80% are expected to be collected in full in the month of the sale and the remainder in the month following the sale. One-fourth of the manufacturing costs are expected to be paid in the month in which they are incurred and the other three-fourths in the following month. Depreciation, insurance, and property taxes represent $6,400 of the probable monthly selling and administrative expenses. Insurance is paid in February and a $40,000 installment on income taxes is expected to be paid in April. Of the remainder of the selling and administrative expenses, one-half are expected to be paid in the month in which they are incurred and the balance in the following month. Capital additions of $250,000 are expected to be paid in March.Current assets as of March 1 are composed of cash of $45,000 and accounts receivable of $51,000. Current liabilities as of March 1 are composed of accounts payable of $121,500 ($102,000 for materials purchases and $19,500 for operating expenses). Management desires to maintain a minimum cash balance of $20,000.Prepare a monthly cash budget for March and April.

Answers

Answer:

March $6,000

April $134,400

Explanation:

Preparation of a monthly cash budget for March and April

SYSTEMS COMPANY CASH BUDGET FOR MARCH AND APRIL

March April

Estimated cash receipts from:

Cash sales $157,500 $182,000

($450,000*35%=$157,500)

($520,000*35%=$182,000)

Collections of accounts receivable

$285,000 $328,900

[$51,000+($450,000*65%*80%)=$285,000]

[($450,000*65%*20)+($520,000*65%*80%)=$328,900]

Total cash receipts $442,500 $510,900

($157,500+$285,000=$442,500)

($182,000+$328,900=$510,900)

Estimated cash payments for:

Manufacturing costs $174,500 $305,000

[$102,000+($290,000*1/4)=$174,500]

[($290,000*3/4)+($350,000*1/4=$305,000)]

Selling and administrative expenses $37,000 $37,500

[($41,400-$6,400)/2 + $19,500 $37,000]

[($46,400-$6,400)/2 +$19,500$37,500]

Capital additions $250,000 $0

Income taxes $0 $40,000

Total cash payments $461,500 $382,500

Cash increase (decrease) -$19,000 $128,400

($442,500-$461,500=-$19,000)

($510,900-$382,500=$128,400)

Cash balance at beginning of month $45,000 $26,000

Cash balance at end of month $26,000 $154,400

(-$19,000+$45,000=$26,000)

($128,400+$26,000=$154,400)

Minimum cash balance $20,000 $20,000

Excess (deficiency) $6,000 $134,400

($26,000-$20,000=$6,000)

($154,400-$20,000=$134,400)

Therefore The monthly cash budget for March and April will be :

March $6,000

April $134,400

A sole proprietor may own and manage any type of business.

a. true

b. false

Answers

The statement a sole proprietor may own and manage any type of business is true because a sole proprietorship is a type of business structure where an individual owns and manages the business entirely on their own.

As a sole proprietor, the individual is the sole owner of the business and retains full control and decision-making authority. This form of business ownership is common and allows individuals to operate a wide range of businesses across various industries.

Whether it's a small retail shop, a consulting firm, a freelance service, or any other type of business, a sole proprietor has the flexibility to own and manage it. While sole proprietors can seek advice from professionals and employ staff, they ultimately have the final say and responsibility for running the business.

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Manufacturers Southern leased high-tech electronic equipment from Edison Leasing on January 1, 2021.
Edison purchased the equipment from International Machines at a cost of $135,990. (FV of $1, PV of $1, FVA of $1, PVA of $1, FVAD of $1 and PVAD of $1) (Use appropriate factor(s) from the tables provided.) Related Information:
Lease term 2 years (8 quarterly periods)
Quarterly rental payments $18,200 at the beginning of each period
Economic life of asset 2 years
Fair market value of asset $135,990
Implicit interest rate 8% (Also lessee's incremental borrowing rate)\
Required: Prepare a lease amortization schedule and appropriate entries for Manufacturers Southern from the beginning of the lease through January 1, 2022. Amortization is recorded at the end of each fiscal year (December 31) on a straight-line basis.

Answers

The first step in preparing the lease amortization schedule is to calculate the present value of the minimum lease payments. Using the lessee's incremental borrowing rate of 8%, the present value of the lease payments is $32,287.

The lease amortization schedule for Manufacturers Southern is as follows: Date Lease Payment Interest Expense Lease Liability Equipment

1/1/21 - - $135,990 $135,990

3/31/21 $18,200 $8,639 $127,751 -

6/30/21 $18,200 $8,220 $117,771 -

9/30/21 $18,200 $7,779 $107,350 -

12/31/21 $18,200 $7,316 $96,466 -

12/31/21 $32,287 $1,971 - $32,287

At the end of the lease term, the lease liability will be reduced to zero, and the equipment will have a net book value of zero. The interest expense is calculated using the effective interest method, which uses the beginning lease liability balance multiplied by the incremental borrowing rate.The appropriate journal entries for Manufacturers Southern are as follows: 1/1/21: Lease Receivable $32,287, Equipment $135,990, Lease Liability $168,277

3/31/21: Lease Receivable $18,200, Interest Expense $8,639, Lease Liability $9,561

6/30/21: Lease Receivable $18,200, Interest Expense $8,220, Lease Liability $10,341

9/30/21: Lease Receivable $18,200, Interest Expense $7,779, Lease Liability $11,162

12/31/21: Lease Receivable $18,200, Interest Expense $7,316, Lease Liability $11,884

12/31/21: Cash $32,287, Lease Receivable $32,287

The lease receivable account is used to record the amortization of the lease liability over the lease term, and the lease liability account is used to record the present value of the lease payments. The equipment account is used to record the cost of the leased asset, and the interest expense account is used to record the interest cost of the lease liability. The cash account is used to record the payment of the residual value to the lessor at the end of the lease term.

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The government claimed that, to illegally control the market, Microsoft used

a. predatory pricing and mergers.
b. predatory pricing and buying out competitors.
c. predatory pricing and forming a cartel.
d. predatory pricing and requiring customers to buy other products.

Answers

Answer:

B. Predatory pricing and buying out competitors

What is the opportunity cost of studying for the test in order to get a good grade?

Answers

Answer:

the opportunity cost is the time spent studying and that money to spend on something else

The time spent studying and the money that could have been used for something else are the opportunity costs.

What is opportunity cost?

According to microeconomic theory, an activity's opportunity cost is the value or gain that is forfeited in exchange for engaging in that activity as opposed to engaging in an alternative activity. More precisely, it means that by choosing one course of action (such as making an investment), you are forfeiting the chance to take an other course of action. The activity that yields the highest return among all others, net of opportunity costs, is the one that is considered to be the ideal activity.

The goal of opportunity cost is to ensure efficient use of limited resources as a depiction of the relationship between scarcity and choice. It takes into account all decision-related expenses, both explicit and implicit.

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2. (-/0.09 Points] DETAILS TANAPMATH7 4.3.018. MY NOTES Suppose payments will be made for 71 years at the end of each month from an ordinary annuity earning interest at the rate of 3.75W/year compound

Answers

payments will be made for 71 years at the end of each month from an ordinary annuity earning interest at a rate of 3.75% per year compounded, we can calculate the future value of the annuity.

To calculate the future value, we can use the formula for the future value of an ordinary annuity:

FV = P * ((1 + r)^n - 1) / r

Where:

FV is the future value

P is the payment amount

r is the interest rate per period

n is the total number of periods

Since payments are made at the end of each month, and there are 12 months in a year, the total number of periods would be 71 * 12 = 852.

Using the given interest rate of 3.75% per year, the interest rate per period would be 3.75% / 12 = 0.3125%.

Let's assume the payment amount is P dollars.

The future value of the annuity can then be calculated as:

FV = P * ((1 + 0.003125)^852 - 1) / 0.003125

Simplifying the equation, we get:

FV = P * (1.003125^852 - 1) / 0.003125

The exact future value will depend on the specific value chosen for P.

Note: The given prompt does not provide a specific payment amount (P), so a precise calculation of the future value cannot be determined without this information.

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Choose a company that you respect (for any reason) and that has not already been used by a classmate, and add a post including:
1. What is the company (name, stock symbol)?
2. What is an important ratio that you would evaluate if you were the CEO or COO of that company?
3. Calculate that ratio for that company and for one of its nearest competitors, including references to your sources of information.

Answers

The company I respect is Nike Inc. (stock symbol: NKE).

One important ratio that I would evaluate as the CEO or COO of Nike is the Gross Margin Ratio. The Gross Margin Ratio measures the percentage of revenue that remains after subtracting the cost of goods sold (COGS). It indicates the company's ability to generate profit from its products and manage production costs efficiently.

According to the latest financial data available (as of my knowledge cutoff in September 2021), Nike's Gross Margin Ratio for the fiscal year 2021 was approximately 44.9% (source: Nike Inc. 2021 Annual Report). To compare this ratio with one of its nearest competitors, let's consider Adidas AG (stock symbol: ADS). Adidas reported a Gross Margin Ratio of around 53.3% for the fiscal year 2020 (source: Adidas AG 2020 Annual Report). Please note that the figures may have changed since my knowledge cutoff, and it's advisable to refer to the most recent financial reports for the current data.

In summary, if I were the CEO or COO of Nike, I would closely monitor the Gross Margin Ratio to assess the company's profitability and cost management. As of the fiscal year 2021, Nike's Gross Margin Ratio stood at around 44.9%. Comparatively, Adidas, one of Nike's closest competitors, reported a higher Gross Margin Ratio of approximately 53.3% for the fiscal year 2020. These figures provide insights into each company's ability to generate profits while controlling production costs.

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The website leftyslefthand. Com markets products to​ left-handed consumers only. Which targeting strategy does this​ represent?.

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The website leftyslefthand. Com markets products to​ left-handed consumers only Concentrated marketing targeting strategy does this​ represent.

An individual or group that does not directly engage in entrepreneurial or business operations but who intends to order or uses purchased items, products, or services primarily for personal, social, family, or household needs is referred to as a consumers. A consumers purchases goods or services primarily for personal use in an economy rather than for resale or other business objectives. Customers make a financial (or comparable) payment for goods or services. Marketing is the process of identifying, producing, and providing value to satisfy a target market's wants for goods and services. Marketing is normally carried out by the seller, who is usually a retailer or manufacturer. A specialized marketing company or advertising agency may be hired on occasion to complete responsibilities.

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degree to which the presentation of one stimulus reliably predicts the presentation of another

Answers

The degree to which the presentation of one stimulus reliably predicts the presentation of another is known as stimulus correlation.

How reliably can one stimulus predict another?

The degree to which the presentation of one stimulus reliably predicts the presentation of another is known as predictive validity. It refers to the extent to which a given cue or indicator can accurately forecast the occurrence or presence of a specific outcome. When there is a high degree of predictive validity, the presence or occurrence of one stimulus can be used as a reliable indicator or predictor of the presence or occurrence of another stimulus. In other words, the relationship between the two stimuli is consistent and dependable.

Predictive validity is an important concept in various fields, including psychology, education, and market research. It allows researchers and practitioners to assess the effectiveness of certain cues or indicators in predicting specific outcomes. By establishing a strong predictive validity, one can have greater confidence in using a particular stimulus as a reliable predictor of another. This can lead to more accurate decision-making, targeted interventions, and improved understanding of cause-and-effect relationships.

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QUESTION 2 of 10: Your Maitre'd's starting salary is $38,000/year. You have promised her an 8% raise per year for her first 5 years. What yearly salary be after 5 years? a) $23,725 b) $42,114 c) $49,189 d) $55,834​

Answers

Answer:

D) 55,834

Explanation:

If a consumer allocates income between good A and good B, total utility is maximized when

Answers

Total utility is maximized when the marginal utility per dollar spent on good A is equal to the marginal utility per dollar spent on good B.

When a consumer allocates income between two goods, they aim to maximize their total utility (satisfaction). To do this, they should consider the marginal utility (additional satisfaction) they get from each good. They will continue to spend on each good until the marginal utility per dollar spent on good A is equal to that of good B. This ensures that they are getting the most satisfaction from their spending.
Mathematically, this can be represented as:
(MU_A / P_A) = (MU_B / P_B)
Where MU_A and MU_B are the marginal utilities of good A and good B, respectively, and P_A and P_B are the prices of good A and good B, respectively.
To maximize total utility when allocating income between good A and good B, a consumer should ensure that the marginal utility per dollar spent on both goods is equal. This ensures the most efficient allocation of their resources, leading to the highest level of satisfaction.

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Pete has met with a group of professional investors to raise funds for his new legal research technology company, Techlaw Pros. The professional investors focus exclusively on funding technology companies in the legal field and are demanding substantial control over Techlaw Pros through sitting on the board of directors. Pete is seeking money from

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Pete is seeking money from a venture capital firm by meeting with a group of professional investors to raise funds for his new legal research technology company, Techlaw Pros.

What is venture capital firm?

Venture capital firm is a private equity investor that gives the capital to those companies who have high growth and in return for an equity stake in the company.

It give preference to the startup companies or the small companies that wants to diversify their business.

Hence, Pete is seeking money from a venture capital firm by meeting with a group of professional investors to raise funds for his new legal research technology company, Techlaw Pros.

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(i) Why is capacity planning strategically important? (ii) A production line at a machine shop has three stations. The first station can process a unit in 12 minutes. The second station has two identical machines, each of which can process a unit in 14 minutes. (Each unit only needs to be processed on one of the two machines.) The third station can process a unit in 10 minutes. Which station is the bottleneck station? What is the system cycle time? What is the capacity at bottleneck pacing? What is the utilization of each station at bottleneck pacing?

Answers

Capacity planning is an essential tool for managing and optimizing the utilization of resources such as labor, equipment, facilities, and inventory.

The objective of capacity planning is to meet the anticipated demand in the most efficient and cost-effective manner, while maintaining the desired level of customer service and quality. Capacity planning is a critical strategic tool that allows organizations to balance the supply and demand of their resources, and to make informed decisions about the timing and magnitude of investments in new or additional capacity. Capacity planning is strategically important because it enables organizations to achieve several objectives. Firstly, capacity planning enables organizations to ensure that they have the appropriate resources to meet their customer demand. By planning their capacity needs, organizations can ensure that they have sufficient inventory, labor, and equipment to fulfill their orders.Secondly, capacity planning enables organizations to manage their resources more effectively. By optimizing their capacity utilization, organizations can reduce their operating costs and improve their efficiency. This, in turn, can help organizations to improve their competitiveness, as they can offer their products or services at lower prices than their competitors.Finally, capacity planning enables organizations to plan for future growth and expansion. By forecasting their future demand, organizations can make informed decisions about the timing and magnitude of investments in new or additional capacity, such as new facilities, equipment, or personnel. This can help organizations to take advantage of growth opportunities and to avoid costly overcapacity or under-capacity situations.

In the production line at the machine shop, the bottleneck station is the second station since it has two machines each of which can process a unit in 14 minutes. The system cycle time is 30 minutes since that is the maximum time required for any unit to be processed through all the three stations. The capacity at bottleneck pacing is 12 units per hour, and the utilization of the first station is 100%, while that of the second station and third station is 50% at bottleneck pacing.

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In order to make up for a budget deficit, the government can do what?

Answers

Answer:

print more money

Explanation:

it makes sense if u think bout it

Answer:

Budget deficit is when the government exceeds its budget, meaning they have spent a lot more money than they were initially supposed to, and thus need to get more money for other issues. So what the government will usually do is take out loans and sell government bonds.

Explanation:

Hope this helps :)

Why do lenders often require a down payment when credit is used to purchase a good?

It reduces risk to the lender.
It eliminates interest charges.
It reduces the cost of the financed good.
It increases the cost of financing the good.

Answers

It is A hope this helps

The payments are done through a down payment reduces the risk to the lender and therefore the lender requires down payments when credit is used to purchase a good. Thus (A) is the correct option.

What is a down payment?

The amount of money that a purchaser pays on the purchasing of any expensive object. The down payment showcases a portion of the total purchasing amount.

It is made in the initial stage of purchasing. It reduces the risk of the lender and therefore, (A) is the correct option.

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Safety and self-actualization are examples of
a. credibility appeals
b. emotional appeals
C.
selective appeals
d.
logical appeals

Answers

Answer:

b

Explanation:

An emotional appeal is a method of persuasion that is designed to create an emotional response. Emotion -phatos in Greek, is one of the three modes of persuasion identified by the well-known philosopher Aristotle. Emotional appeals are meant to manipulate emotions in an audience.

Emotional appeals are used by means of communication. For instance, when a news TV show relates a new on the rise of crime in a given state it causes insecurity in the audience or when an ad on social media prompts information on new technology it creates the need for updating our knowledge so the audience understands what that is about

Answer:

b. emotional appeals

Explanation:

took the test :)

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