GDP equals $140 in this scenario.
To calculate GDP (Gross Domestic Product) using the expenditure approach, we need to sum up the four components of aggregate expenditures: personal consumption (C), investment (I), government purchases (G), and net exports (NX).
So, GDP = C + I + G + NX
Substituting the given values, we get:
GDP = $100 (C) + $25 (I) + $25 (G) + ($10 (exports) - $20 (imports))
GDP = $100 + $25 + $25 + ($10 - $20)
GDP = $100 + $25 + $25 - $10
GDP = $140
Therefore, GDP equals $140 in this scenario.
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The GDP equals to $140. Additionally, this example doesn't take into account factors like inflation or changes in the economy over time. However, for the purposes of this question, the answer is simply $140.
To calculate GDP, we can use the formula GDP = C + I + G + (X-M).
C represents personal consumption, which is $100.
I represents investment, which is $25.
G represents government purchases, which total $25.
(X-M) represents net exports, which is calculated by subtracting imports (which are $20) from exports (which are $10). Therefore, (X-M) equals -$10.
Now, we can plug these values into the formula:
GDP = C + I + G + (X-M)
GDP = $100 + $25 + $25 + (-$10)
GDP = $140
Therefore, the GDP equals $140. It's worth noting that this is a very simplified example of calculating GDP, and in reality, there are many more factors to consider.
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Shares of apple are currently trading at approximately $129. Placing an order to buying 1000 shares but only when the stock price hits $125 is known as a.
Shares of apple are currently trading at approximately $129. Placing an order to buying 1000 shares but only when the stock price hits $125 is known as a Limit Order.
A limit order is a buy/sell order that specifies a maximum price to be paid or a minimum price to be received for a stock (the "limit price"). Only at the specified limit price or better will the order be filled.
A limit order advises your broker to fill your buy or sell order at a certain price or better and is visible to the market. When a stop price is reached, a stop order, which is invisible to the market, activates a market order.
An order to purchase or sell a security at a certain price or higher is known as a limit order. Only at the limit price or lower can a purchase limit order be fulfilled, and only at the limit price or greater can a sell limit order be fulfilled. Example: A buyer wishes to pay no more than $10.28 a share for shares of ABC stock.
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The complete question is ''Shares of Apple are currently trading at approximately $129. Placing an order to buying 1000 shares BUT only when the stock price hits $125 is known as a
A) Stop-Loss Order
B) Market Order
C) Limit Order
D) Shorting
what is the recommended way to end a negative message to a superior? with a recommendation for a solution and a request for approval with a positive, forward-looking statement with a request for a solution with a list of reasons behind the problem
A recommended way to end a negative message to a superior is with a recommendation for a solution and a request for approval. Option A.
When delivering a negative message to a superior, it is important to ensure the message is clear, concise, and respectful.
While it is important to provide an honest assessment, it is also important to provide a constructive solution.
Therefore, to ensure the message is effective, it is recommended to end the message with a recommendation for a solution and a request for approval.
This will demonstrate a respectful attitude and provide an opportunity for the superior to feel valued and included in the decision making process.
One way to do this is to provide a recommended solution to the problem and ask for approval. This will show that you have considered the situation and have a plan of action that can address the issue.
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What is a highly coordinated activity that delivers goods and/or services when they are needed?
Just-in-time production is a highly coordinated processing system in which goods move through the system, and services are performed, just as they are needed.
Even smaller retailers can take advantage of the Just-in-time method to streamline the shipping process. as an instance, a agency that markets office furnishings but does not manufacture it is able to order the furniture from the producer simplest when a client makes a purchase. The manufacturer delivers it immediately to the consumer.
Lean manufacturing is a production technique aimed by and large at lowering instances in the production system as well as response instances from suppliers and to clients. It is closely associated with any other idea called just-in-time manufacturing.
Just-in-time production, sometimes called lean production or lean manufacturing, turns traditional production thinking on its head rather than producing items and offering customers from inventory, JIT processes consciousness on producing precisely the quantity you want at precisely the time your customers want it.
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In the short run, the profit-maximizing monopolistically competitive firm will produce the rate of output at which Select one: a. P = MC. b. P = ATC. c. MR = ATC. d. MR = MC.
In the short run, the profit-maximizing monopolistically competitive firm will produce the rate of output at which MR = MC. Option d is correct.
In the short run, a monopolistically competitive firm will produce the rate of output at which marginal revenue (MR) equals marginal cost (MC) in order to maximize profits. This is because the firm is able to differentiate its product from its competitors, giving it some degree of market power, but it still faces competition and cannot set the price of its product without losing customers. Therefore, the firm will choose the quantity of output that allows it to maximize profit, which is achieved at the point where MR = MC.
Option d is correct.
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Now that you understand what investments are, you will search for three image examples that represent investments. You may choose to select images that represent the key concepts of investments, or examples of different types of
investments. In a short paragraph, explain why each of your selected images is an appropriate representation. Be sure
to follow proper image use and citation guidelines; click here for a quick review on these guidelines. In a second
paragraph, discuss the sources of each of your images and why they are reputable.
There are three main types of investments: Ownership, Lending, or cash. Ownership investments are the most volatile and profitable class of investment. Such as owning stock meaning owning a portion of a company. It may be a minuscule stake, but it's ownership. More broadly speaking, all traded securities, from futures to currency swaps, are ownership investments. Investors purchase them in order to share in the profits, or because they will increase in value, or both. Lending money is a category of investing. The risks generally are lower than for many investments and, consequently, the rewards are relatively modest. A bond issued by a company or a government will pay a set amount of interest over a set period of time. The only real risk is that the company or government will go bankrupt, in which case the bondholder may get little or none of the investment back. A regular savings account is an investment. The investor is essentially lending money to the bank. The bank will pay interest to the account holder and will earn its profit by loaning out the rest of the money to businesses at a higher rate of interest. These are investments are "as good as cash," which means that they can be converted back to cash easily and quickly. Money market funds are more liquid than other investments, meaning you can write checks out of money market accounts just as you would with a checking account. Although, once you start writing checks on it you've erased much of its value as an investment.
A simple index of three stocks have opening values on day 1 and
day 8 as shown in the table below.
What is the rate of change of this simple index over one week?
Round your answer to the nearest tenth.
A. 2.0%
B. 1.2%
C. -1.2%
D. -2.0%
The rate of change of this simple index over one week is option D. -2.0% (to the nearest tenth)
How did we get the value?To calculate the rate of change of the simple index over one week, calculate the value of the index on day 1 and day 8.
On day 1, the value of the index is:
(4000*$3.15 + 5000*$4.30 + 6000*$4.60) / (4000 + 5000 + 6000) = $4.19
On day 8, the value of the index is:
(4000*$3.50 + 5000*$3.90 + 6000*$4.50) / (4000 + 5000 + 6000) = $4.11
The rate of change of the simple index over one week is:
($4.11 - $4.19) / $4.19 * 100% = -1.9% ≈ -2.0% (rounded to the nearest tenth)
Therefore, the answer is D. -2.0%.
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Will mark brainliest !!
Which of these is true about the national unemployment rate?
A. All people 18 years or older are counted as part of the labor force.
B. It is always at 6%.
C. All citizens are included in the labor force.
D. It is never at zero.
It is never at zero is true about the national unemployment rate. Hence, option D is correct.
What is national unemployment rate?The unemployment rate is defined as the proportion of the civilian labour force that lacks employment. The labour force is made up of all people who are working age and either employed or jobless.
The unemployment rate is the percentage of jobless people in the labor force. Therefore, knowing who is employed is essential for determining the unemployment rate. The labor force is made up of people who are either employed or unemployed.
The unemployment rate is the proportion of the work force that is unemployed. Because it is a trailing indicator, it frequently increases or decreases in response to changes in economic conditions rather than anticipating them.
Thus, option D is correct.
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Topic: Unemployment and Cost
Inflation
The two main forms of economic problems are unemployment and
inflation. There are different types of unemployment in the
economy. Moreover, some employed people
Inflation is one of the two main forms of economic problems, alongside unemployment. Unemployment and inflation are two main economic problems that can impact an economy.
Inflation refers to the sustained increase in the general price level of goods and services over time. It erodes the purchasing power of money, as the same amount of currency can buy fewer goods and services. This can have various impacts on individuals, businesses, and the overall economy. High inflation can lead to reduced consumer spending, increased production costs, and uncertainty in financial markets. Central banks often aim to maintain price stability by implementing monetary policies to control inflation.
By controlling inflation, policymakers can help maintain a stable and predictable economic environment, which is conducive to sustainable economic growth. However, striking the right balance is crucial, as too low inflation can lead to deflationary pressures, potentially causing economic stagnation. It is important for governments and central banks to carefully monitor and manage inflation to promote economic stability and well-being.
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The additional $600 unemployment benefit ended on July 25, 2020. Even with the $300 Lost Wages Assistance Benefit, many Texans are being evicted from their homes and cannot provide basic necessities for their family. The unemployment rate is now over 7% in Texas, above our natural rate of unemployment. Did the government make the right decision with ending the extra $600 unemployment benefit from the CARES Act? Why or why not? Explain your position.
Answer: No they did not at this rate many of the citizens will go bankrupt and the economy will suffer a great lost do to the increase of the unemployment rate
Explanation:
You are the manager of a fertility clinic and you need to purchase an Ultrasound for the providers. The equipment's acquisition cost is $65,000. You have arranged financing with the bank for a 15 year loan at an 8% interest rate. What is your monthly payment
The supervisor bought Ultrasound for the company, so his month-to-month bills will be $5200.
What is an easy hobby?Simple interest is a short and smooth approach to calculating the interest rate on a loan. Simple interest is calculated by multiplying the daily interest fee by the number of days between bills.
This kind of interest generally applies to car loans or short-term period loans, despite the fact that a few mortgages use this calculation approach.
When you're making a charge on an easy interest loan, the charge first goes towards that month’s interest, and the rest goes towards the foremost.
Each month’s interest is paid in full, so it by no means accrues. In contrast, compound interest provide a number of the month-to-month interest lower back onto the loan; in every succeeding month, you pay for a new interest on the vintage interest.
The formulation for an simple interest is pretty, well, easy:
Simple Interest = PxIxN, where P denotes the principal and I denotes the daily interest fee. N = Number of days between bills "Simple" interest" generally applies to car loans or short-term non-public loans.In the U.S., maximum mortgages on an amortization schedule are also easy interest loans, despite the fact that they are able to genuinely experience compound interest ones.
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Epson has one bond outstanding with a yield to maturity of 4% and a coupon rate of 8%. The company has no preferred stock. Epson's beta is 0.7, the risk-free rate is 2.7% and the expected market risk premium is 6%. Epson has a target debt/equity ratio of 0.4 and a marginal tax rate of 34%. Attempt 1/20 for 10 pts. What is Epson's cost of equity? Attempt 1/20 for 10 pts. What is Epson's capital structure weight for equity, i.e., the fraction of long-term capital provided by equity? Attempt 1/20 for 10 pts. What is Epson's weighted average cost of capital?
Epson's cost of equity is 6.9%.
To calculate Epson's cost of equity, we can use the Capital Asset Pricing Model (CAPM):
Cost of Equity = Risk-Free Rate + Beta * Expected Market Risk Premium
= 2.7% + 0.7 * 6%
= 6.9%
Epson's cost of equity is 6.9%.
To calculate Epson's capital structure weight for equity, we need to consider the target debt/equity ratio. The weight of equity can be calculated using the formula:
Equity Weight = 1 / (1 + Debt/Equity Ratio)
= 1 / (1 + 0.4)
= 0.7143 or 71.43%
Epson's capital structure weight for equity is 71.43%.
Epson's weighted average cost of capital is 7.2143%
To calculate Epson's weighted average cost of capital (WACC), we need to consider the cost of debt and the cost of equity. The formula for WACC is:
WACC = (Weight of Equity * Cost of Equity) + (Weight of Debt * Cost of Debt)
= (0.7143 * 6.9%) + (0.2857 * Cost of Debt)
Since the coupon rate of the bond is 8%, we can assume that the cost of debt is 8%.
Therefore:
WACC = (0.7143 * 6.9%) + (0.2857 * 8%)
= 4.9287% + 2.2856%
= 7.2143%
Epson's weighted average cost of capital is 7.2143%.
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A commitment to good corporate governance:
necessitates decreasing the independence of the board.
often affects a company's public image adversely.
means adopting the "comply or explain" approach.
makes a company more attractive to investors.
A commitment to good corporate governance involves increasing board independence, may initially impact a company's public image, employs the "comply or explain" approach, and ultimately enhances its appeal to investors through improved trust and stability.
A commitment to good corporate governance is essential for building trust, transparency, and accountability within a company. However, the statement provided contains some misconceptions.
Firstly, good corporate governance actually necessitates increasing the independence of the board. Independent board members can provide unbiased oversight, ensuring that the interests of shareholders are protected and that management decisions are made with the company's long-term success in mind.
Secondly, while adhering to strong corporate governance practices may lead to short-term challenges, such as increased scrutiny and compliance costs, it ultimately enhances a company's public image in the long run. Demonstrating ethical behavior and responsible management fosters positive relationships with stakeholders, including customers, employees, and the broader community
Furthermore, adopting the "comply or explain" approach is a hallmark of good corporate governance. This principle allows companies to deviate from established governance practices if necessary but requires them to explain the reasons for doing so, fostering transparency and accountability.
Lastly, a commitment to good corporate governance does make a company more attractive to investors. Investors seek companies that prioritize strong governance structures as it mitigates risks, ensures proper decision-making processes, and enhances the potential for sustainable growth and financial performance.
In conclusion, embracing good corporate governance involves increasing board independence, may initially impact a company's public image, employs the "comply or explain" approach, and ultimately enhances its appeal to investors through improved trust and stability.
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Answer each of the following questions.
1)If a 10% increase in price leads to a 40% decrease in quantity demanded, what is the value of price elasticity of demand? Show your work.
2)Which of the following will cause the demand for a good or service inelastic?
Having few substitutes
A longer time period
Being a luxury
Being a large share of the consumer's budget
3)If the price elasticity of demand is equal to 0.5, is demand elastic, inelastic, or unitary elastic?
4)Will a perfectly elastic supply curve be vertical, horizontal, or upward-sloping?
5)What price elasticity of supply will lead to a smaller increase in quantity when price changes— elastic, inelastic, or unitary elastic?
1. The value of price elasticity of demand if there's a 10% increase in price leads to a 40% decrease in quantity demanded is 4
2. The cause of the demand for a good or service inelastic is "Being a large share of the consumer's budget". option D
3. If the price elasticity of demand is equal to 0.5, is demand to be "inelastic".
4. The perfectly elastic supply curve is horizontal.
5. The price elasticity of supply which will lead to a smaller increase in quantity when price changes is inelastic.
How to calculate price elasticity of demandPrice elasticity of demand = % change in demand / % change in price
= 40% / 10%
= 0.4 / 0.1
= 4
Inelastic demand refers to a situation in which consumers demand for goods and services does have a proportional change with a change in price.
A perfectly elastic supply curve is the curve in which the supply curve is horizontal.
In conclusion, the price elasticity of demand is the best degree of responsiveness of demand to a change in price.
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From 2008-2012, texas's unemployment rate? was the highest in the nation. was among the highest in the nation. was about the national average. was lower than the national average.
Texas had a lower unemployment rate than the rest of the US between 2008 and 2012.
Texas had a lower unemployment rate than the rest of the US between 2008 and 2012 and was lower than the national average. The expansion of the trade, transportation, and utilities sectors was the main cause of the decline in unemployment. The percentage of the labor force without a job is known as the unemployment rate. It is a lagging indicator, which means that rather than foretelling changes in economic conditions, it often rises or decreases in response to them. The unemployment rate is likely to increase when the economy is struggling and there are few open positions.
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If there is a high demand for a product, then production will be__.
a. decreased
b. increased
c. the same
d. none of the above
Answer:
the answer is b. increased
Answer:
B.increased
Explanation:
if there is high damand for a product they will make/order more so they can get more money off of that popular item because a lot of people are buying it. so most likley the production of that item will be increased because it will help make them lots of money if they have that item in their store a lot.
Your company is experiencing technical problems and financial losses with one of its products. Which stage of its lifecycle has the product most likely reached
Based on the information provided, the product has most likely reached the decline stage of its lifecycle.
The product lifecycle is a model that describes the stages a product goes through from its introduction to its eventual decline and removal from the market. The four stages of the product lifecycle are introduction, growth, maturity, and decline.
During the decline stage, sales and profits begin to decrease as the product faces increasing competition from newer and more innovative products. Technical problems and financial losses are common during this stage as the product may no longer meet the needs and wants of its target market. Companies may consider discontinuing the product, reducing marketing support, or attempting to reposition the product to extend its life.
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which of the following individuals would most likely be issued a nonresident producers license
a Mass resident who sells insurance full time in Boston but wants to expand his customer base by becoming licensed in NJ
The individual who would most likely be issued a nonresident producers license is a Massachusetts resident who sells insurance full time in Boston but wants to expand his customer base by becoming licensed in NJ. The correct option is A.
What is nonresident producer's license?A nonresident producer's license is granted by the state of residence to allow individuals to sell, solicit, or negotiate insurance within a state where they are not residents.
The purpose of this license is to ensure that nonresident producers are knowledgeable about the state's insurance laws and regulations, as well as to provide the public with a level of protection while doing business with nonresidents.
Therefore, the individual who is a Massachusetts resident and wants to expand his customer base by becoming licensed in NJ would most likely be issued a nonresident producer's license.
Therefore, the correct option is A.
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Your question is incomplete, most probably the complete question is:
Which of the following individuals would most likely be issued a nonresident producers license
a. a Massachusetts resident who sells insurance full time in Boston but wants to expand his customer base by becoming licensed in NJ
b. An agent misrepresents policy benefits to convince a policyowner to replace policies
c. An agent offers the use of his lake house to person as an inducement to buy.
Question 5 A. Explain the formation of monolayers in the self-assembly technique systematically. Discuss in brief the two different processes that are used in selfassembly in the nano-fabrication proc
Monolayers in the self-assembly technique are formed systematically through a process called self-assembly. The self-assembly process involves the spontaneous organization of molecules or particles into a stable and ordered structure or pattern. This process is driven by various forces such as van der Waals forces, hydrogen bonding, electrostatic interactions, etc.Different processes are used in self-assembly in the nano-fabrication process which include:
Top-down process: This process starts with a bulk material and breaks it down to create nano-sized structures or patterns. It is also known as the lithography process and it involves the use of electron beams, X-rays, or ultraviolet light to pattern and expose a resist on the surface of a substrate. The exposed areas of the resist can be selectively removed by etching to create patterns on the surface of the substrate.
Bottom-up process: This process involves the assembly of individual atoms or molecules to form larger structures or patterns. It is also known as the self-assembly process.
This process relies on the ability of individual atoms or molecules to organize themselves into a desired structure or pattern through various interactions such as van der Waals forces, hydrogen bonding, etc. The self-assembly process can be used to create monolayers of molecules or particles on a surface.
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Bachman, Inc. plans to develop a shopping center. In the first quarter, the following amounts were incurred: Acquisition of land $21,000 Surveys and legal fees 1,000 Land clearing 400 Fencing 3,000 Install lighting and signage 1,460 What amount should be recorded as the cost of the land in the corporation's books?
Based on the information provided, Bachman, Inc. plans to develop a shopping center and incurred various costs in the first quarter. The acquisition of land cost $21,000, surveys and legal fees were $1,000, land clearing cost $400, fencing cost $3,000, and installation of lighting and signage cost $1,460.
To determine the amount that should be recorded as the cost of the land in the corporation's books, we need to subtract the costs incurred that are not directly related to the land. These costs include surveys and legal fees, land clearing, fencing, and installation of lighting and signage. Therefore, the cost of the land in the corporation's books would be $21,000 - $1,000 - $400 - $3,000 - $1,460 = $15,140. It is important to accurately record the cost of the land in the corporation's books as it will impact the company's financial statements and future decisions regarding the development of the shopping center. It is recommended that the company consult with a certified public accountant to ensure proper recording of the land costs and any other related financial transactions.
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Using the amount of his current paycheck, Miguel created a series of financial goals and strategies. Which type of financial risk might this cause for him in the future?
✅income risk
- interest rate risk
- personal risk
- inflation risk
The Inflation risk is the financial risk might affect Miguel in the future.
The financial risk are risk that pose the possibility of losing one's money on an investment or business venture.
Here, it is obvious Miguel financial goals and strategies may involve investment with his Current paycheck say $1,000,000.
If he invest in a Money market now which pays 10%, Inflation will cause the purchasing power of the amount e invested to reduce in the future.
Thus, the Inflation risk, also called purchasing power risk is the financial risk that might affect Miguel financial goals and strategies.
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What the possible careers in Law
Answer:
Types of Law Careers. Banking and Insurance: Administrative Law Officer, Specialist Law Office. Public Prosecutor. State-Level or Local-Level Judge.
PLEASE MARK ME BRAINLIEST.What is the straight time pay for each of the following for a 40 hour week
based luxury apparel manufacturer, sets up a production unit in vietnam to take advantage of the lower labor costs there. this is an example of joint venture true false
False. Setting up a production unit in Vietnam to take advantage of lower labor costs is not an example of a joint venture.
A joint venture refers to a business arrangement where two or more companies come together to form a new entity and jointly invest in resources, share risks, and share profits or losses. In a joint venture, the companies pool their expertise, capital, and resources to pursue a specific business opportunity.
In the given scenario, the luxury apparel manufacturer is establishing a production unit in Vietnam to benefit from lower labor costs. This indicates a strategic decision to outsource or expand operations to a location where labor expenses are comparatively lower. It does not involve the formation of a new entity with another company or any partnership arrangement.
Instead, the luxury apparel manufacturer is implementing a cost-saving strategy by leveraging the cost advantages offered by Vietnam's labor market. This approach is commonly known as offshoring or outsourcing, where a company moves its production or manufacturing processes to a different location to reduce costs or improve efficiency.
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Future value with periodic rates Man Johnsos delivers newspapers and is puting away $30 at the end of each quarter from his paper route collections Matt is 11 years old and will use the money when the goes to colege in 7 years. What will be the value of Mat's account in 7 years with his quarterly payments if he is eaning 6.5% (APR), 10.5% (APR) or 13% (APRI). What will be the value of Matrs account in 7 years with his quarterly payments if he is eaming 6.5% (APRY)?
The value of Matt's account in 7 years with quarterly payments will be $327.83 at a 6.5% APR, $386.82 at a 10.5% APR, and $416.29 at a 13% APR.
To calculate the future value of Matt's account with quarterly payments, we can use the formula for the future value of an ordinary annuity:
Future Value = P * [(1 + r/n)^(n*t) - 1] / (r/n)
P = Payment amount per period
r = Annual interest rate (in decimal form)
n = Number of compounding periods per year
t = Number of years
Given that Matt makes quarterly payments of $30, we can substitute the values into the formula:
For 6.5% APR:
P = $30
r = 6.5% = 0.065 (APR)
n = 4 (quarterly compounding)
t = 7 years
Future Value = $30 * [(1 + 0.065/4)^(4*7) - 1] / (0.065/4)
Future Value = $327.83
For 10.5% APR:
P = $30
r = 10.5% = 0.105 (APR)
n = 4 (quarterly compounding)
t = 7 years
Future Value = $30 * [(1 + 0.105/4)^(4*7) - 1] / (0.105/4)
Future Value = $386.82
For 13% APR:
P = $30
r = 13% = 0.13 (APR)
n = 4 (quarterly compounding)
t = 7 years
Future Value = $30 * [(1 + 0.13/4)^(4*7) - 1] / (0.13/4)
Future Value = $416.29
Therefore, the value of Matt's account in 7 years with quarterly payments will be $327.83 at a 6.5% APR, $386.82 at a 10.5% APR, and $416.29 at a 13% APR.
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help i cant figire these out
lol tell me where this from
also if u like anime, what your favourite?
Answer:
levi from attack on titan
Explanation:
Which situation would most likely cause a currency with a flexible exchange rate to increase in value?
Answer:
:A currency with a flexible exchange rate is one that is determined by supply and demand in the foreign exchange market. Therefore, the most likely situation that would cause a currency to increase in value is an increase in demand for that currency relative to its supply.
This can happen for a variety of reasons, such as an increase in foreign investment in the country, an increase in exports, or a decrease in the supply of the currency due to government intervention or a decrease in the money supply.
For example, if a country has a strong economy and is seen as a safe place to invest, foreign investors may want to buy more of that country's currency, causing its value to increase. Similarly, if a country's exports become more competitive due to a decrease in the value of its currency relative to other currencies, demand for that currency may increase, causing its value to rise.
What must be shown to prove negligence that is not needed to prove strict
liability?
A. Injury
B. Fault
C. Stream of commerce
D. Defective product
Answer:
A. Injury
Explanation:
Given that for strict liability, the defendant is only liable to accidents he or she causes, that is to prove strict liability, the plaintiff must show
cause and damages. Whereas on negligence, it is required of a plaintiff to show duty, breach, cause, and injuries.
Hence, what must be shown to prove negligence that is not needed to prove strict is "Injury" as it covers a lot of factors including both cause and damages of strict liability.
Answer:
A.P.E.X is D
Explanation:
Kowabunga was a US based beach clothing and gear company. The owner of the company wanted to expand into markets in Mexico, Australia and Fiji. The company compared the emerging markets to see which had the highest growth rates. Which external business environment did the company evaluate for its expansion?
Based on the given details the external business factor environment that did the company evaluate for its expansion is sociocultural.
Socio-cultural as a business external factor has to do with the environment culture or customs and belief as well as the type of fashion trend they have in vogue.
For a clothing company to be successful the consumer, their income level or wealth, growth rate and the environment at large has to be put into consideration.
The company has to as well evaluate the market activities of the country as this can help to influence their decision when trying to expand into another country market as well as their strategic goals when introducing their product into an another country.
Inconclusion the external business factor environment that did the company evaluate for its expansion is sociocultural.
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Almost all financial theory and decision models assume that the financial markets are efficient. The informational efficiency of financial markets determines the ability of investors to "beat" the market and earn excess (or abnormal) returns on their investments. If the markets are efficient, they will react rapidly as new relevant information becomes available. Financial theorists have identified three levels of informational efficiency that reflect what information is incorporated in stock prices.
Identify the form of capital market efficiency under the efficient market hypothesis described in the following statement:
Current market prices reflect all information contained in past price movements.
This statement is consistent with:
Strong form efficiency
Semistrong form efficiency
Weak form efficiency
The Correct option (b) semistrong form efficiency
Finance theory is a broad field that includes both speculation and mathematical calculations used to determine investment strategies and monetary value estimates. Finance theories are also used to develop fundraising and capital creation plans, as well as to manage financial risk.
The efficient market hypothesis (EMH), the relationship between risk and return based on the Capital Asset Pricing Model (CAPM), the Modigliani-Miller theorems (M&M), and the Black-Scholes-Merton approach to option pricing are all part of modern finance's conceptually unified theoretical core.
Financial theory provides simplification, an opportunity to understand the impact of financial decisions in a constrained environment, insight into real-world problems, a framework for problem analysis, and a foundation for building more complex models.
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Which of the following are exempt from licensure, as long as they meet the exemption
requirements?
Public and non-public schools
Child care facilities
Membership organization programs
Summer day and 24-hour camps
Large family child care homes
Vacation Bible School programs
Hotels and resorts
Answer:
Child Care Facilities
Large Family Child Care Homes
Public and non-public schools
Summer day and 24-hour camps
Vacation Bible School Programs.
Explanation:
A facility that is exempted from licensing is the one that is not licenses, but is still to maintaining certain requirements held under respective authorities. They need to meet certain requirements in order to operate effectively.
There are several programs that are exempted from licensing. From the given list, they are:
Public and non-public schoolsChild Care FacilitiesSummer day and 24-hour campsLarge Family Child Care homesVacation Bible School Programs.These programs are exempted from having a license but are under the obligation to meet certain requirements to run efficiently.