If the income of U.S. citizens falls relative to the income of Japanese citizens, the dollar will ________ in terms of the yen and the yen will ________ in terms of the dollar.
a. depreciate; remain unaffected b. appreciate; remain unaffected c. depreciate; appreciate d. appreciate; depreciate e. remain unaffected; appreciate

Answers

Answer 1

If the income of U.S. citizens falls relative to the income of Japanese citizens, the dollar will depreciate in terms of the yen and the yen will appreciate in terms of the dollar. Option (c) depreciate; appreciate is the correct answer.

What is depreciation?

Depreciation is a decrease in the value of a currency relative to other currencies as a result of market forces or changes in the economic variables that influence currency values. Depreciation occurs when a currency's relative value falls due to declining demand for assets denominated in that currency.To understand this better, let us consider an example. If the income of US citizens falls relative to the income of Japanese citizens, the demand for goods produced by Japanese producers in the United States will rise, as Japanese products become more affordable for Americans. Since the demand for yen has risen, its value has increased relative to the US dollar, causing the dollar to depreciate in terms of the yen.

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Related Questions

Please explain the four stages in the figure and figure out where is the optimal operating region. A

Answers

Stage D in the figure represents the optimal operating region, where both the reporting frequency and reliability are high.

The figure represents the relationship between reporting frequency and reliability. It is about the four stages in the reporting frequency-reliability relationship figure and identifying the optimal operating region. In the figure, the four stages are labeled as A, B, C, and D. To determine the optimal operating region, we need to analyze these stages.

Stage A represents low reporting frequency and low reliability. In this stage, there is a low frequency of reporting, resulting in low reliability of the reported information. Stage B represents low reporting frequency but high reliability. In this stage, even though the reporting frequency is low, the reported information is highly reliable.

Stage C represents high reporting frequency but low reliability. Here, the reporting frequency is high, but the reliability of the reported information is low. Stage D represents high reporting frequency and high reliability. This is the stage where both the reporting frequency and the reliability of the reported information are high.

To identify the optimal operating region, we need to consider both the reporting frequency and the reliability. Ideally, we want a high reporting frequency and high reliability, which is represented by stage D. So, stage D in the figure represents the optimal operating region, where both the reporting frequency and reliability are high.

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The complete question is:

Below is the reporting frequency-reliability relationship figure Please explain the four stages in the figure and figure out where is the optimal operating region.

Please explain the four stages in the figure and figure out where is the optimal operating region. A

Demarco and Tanya have received information about three separate mortgage offers. In two or three paragraphs, describe your recommendation for the best financial choice in their situation.

Answers

Answer: first one

As for Mortgage Option 3, not only is the interest rate higher (4.0%), but the remaining balance that is not paid has to be paid off completely in 8 years. After the down payment, they would have a $1,605 monthly payment which includes the fixed interest rate of 4.25% as well. Due to the short payment time, a borrower has a risk of loosing their home and equity if the final payment is not able to be made. Mortgage Option 2 has the lowest interest rate (3.5%) but these rates could be adjusted annually. Even though the interest rate is the highest, they would be able to afford it. Not only are they able to make these payments, Tanya and Demarco would also have. approximately $3,395 left to spend from their monthly earnings too.

Explanation:

credit to mohammedalm2

Whom do price supports benefit and whom do
they hurt?

Answers

they benefit producers and hurt consumers

Suppose it is end of November 2007 and Porsche reviews its hedging strategy for the cash flow it expects to obtain from vehicle sales in North America during the calendar year 2009. Assume that Porsche entertains three scenarios: The expected volume of North American sales in 2009 is 32,750 vehicles. The low-sales scenario is 30% lower than the expected sales volume and the high-sales scenario is 30% higher than the expected sales volume. Assume, in each scenario, that the average sales price per vehicle is $90,000 and that all sales are realized at the end of November 2009. All variable costs incurred by producing and shipping an additional vehicle to be sold in North America in 2009 are billed in € (EURO) and amout to €60,000 per vehicle. Characterize how Porsche's € (EURO) cash flows, net of variable costs, obtained from its North American sales depend on the spot exchange rate that prevails at the end of November 2009, if:a) Porsche does not hedge its currency exposure at allb) Porsche hedges by selling forward US$ equal to the amount of expected 2009 sales with a two-year forward contractc) Porsche hedges by buying two-year European at-the-money put options on US$ (providing to Porsche the right to sell US$, receiving €, at the strike exchange rate) in sufficient quantity to have the right to sell an amount of US$ equal to expected 2009 sales. Additional information:The exchange rate at the end of November 2007 was 1. 47 $ per €If Porsche bought one-year put options on the U. S. Dollar on November 30, 2007, it would have been at a strike of 1. 45$ per €

Answers

If the exchange rate is higher than 1.47 $ per €, Porsche's € cash flows would increase, but if it is lower, Porsche's € cash flows would decrease.

a) If Porsche does not hedge its currency exposure at all, its € cash flows net of variable costs obtained from North American sales would depend on the spot exchange rate prevailing at the end of November 2009.

b) If Porsche hedges by selling forward US$ equal to the amount of expected 2009 sales with a two-year forward contract, its € cash flows net of variable costs obtained from North American sales would be fixed at the forward exchange rate prevailing at the end of November 2007, which is 1.47 $ per €. This would eliminate Porsche's currency risk.

c) If Porsche hedges by buying two-year European at-the-money put options on US$, its € cash flows net of variable costs obtained from North American sales would depend on the spot exchange rate financial statements prevailing at the end of November 2009. If the spot rate is higher than the strike rate of 1.45 $ per €, Porsche would exercise the put option and sell US$ at the strike rate, receiving more € than it would receive at the spot rate. If the spot rate is lower than the strike rate, Porsche would not exercise the put option and would receive less € than it would receive at the spot rate.

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which part of our body is affected by plogue pose?​

Answers

Answer:

spine and shoulders are affected

The spine and the shoulders of our body part are mostly affectd by the plogue pose. It stretches our body muscles.

Plow Pose

It is a stretching exercise which keeps your body fit and flexible.

Doing stretching exercise regularly benefits the body mucles and tendons.

The plow pose is a stretching exercise where one positions his/her body upside down and keeps their feet bend over the head.

This pose affects our spine and also our shoulders.

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which part of our body is affected by plogue pose?

Alex opines that the human resource planning process is all about forecasting the labour demand of a company. Human resource planning is more complex than what Alex has in mind, however. Explain and change Alex's mind. (10 marks) (b) Human resource departments are moving toward utilizing data analytics to aid their hiring process. Explain how the standards of (i) reliability, (ii) validity, and utility can assist the human resource departments to increase the accuracy of their hiring process. (15 marks) [Total: 25 Marks]

Answers

(a) Alex's opinion of human resource planning merely forecasting labor demand is wrong. It's much more complicated, involving multiple activities like assessing the current state of HR, designing and implementing policies, etc.

(b) Alex's opinion of human resource planning merely forecasting labor demand is not right. Human resource planning is a comprehensive strategy that takes into account many variables and requires multiple activities like assessing the current state of HR, designing and implementing policies, and aligning them with the organization's goals and objectives.

It involves several activities like job analysis, recruitment, selection, training, and development of employees, succession planning, and retention. HR departments are moving towards utilizing data analytics to improve the accuracy of their hiring process. This data analytics incorporates reliability, validity, and utility standards to increase the precision of the hiring process. Reliability ensures that the data analysis method is consistent and produces identical results over time.

Validity is crucial to ensure that the selection tool measures the desired attributes to predict job performance accurately. The utility takes into account the cost and benefit of the data analytics method to ensure that the company receives the maximum benefit from the data collected. In conclusion, human resource planning is a comprehensive strategy, and the incorporation of data analytics through the standards of reliability, validity, and utility can increase the accuracy of the hiring process.

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What are some of the similarities and differences between the CTSOs of HOSA and Educators Rising? Please describe what makes these two organizations differ from each other.

Answers

Answer:

Similarities and differences between  CTSOs of HOSA and Educators Rising are in Educators Rising you work with children and HOSA is for people who are interested in health science. Another difference is and a similarity is that neither are clubs but EdRising is an organization and HOSA is a tool.

Explanation:

The lease on Allison's apartment will expire next month, and she wants to move closer to campus. There are two apartments that she likes. Both are close to campus and in her price range. The first one is next door to a garage where local bands often practice late at night. The second one is next door to a donut shop that opens at 5 a.m. If she likes to stay up late and loves listening to all kinds of music, she will view the bands practicing as an) - willingness to pay. - private good. - external benefit.
- price floor. - external cost.

Answers

If Allison likes to stay up late and loves listening to all kinds of music, she will view the bands practicing as an external benefit. She will move to first apartment after expiration of current lease and price will be a negligible factor in this case. Option C is the right answer.

What is an external benefit? An external benefit is a good effect that an individual or firm's behavior has on others who are not involved in the transaction. An example of an external benefit is when a company hires a new worker who was previously unemployed, resulting in reduced unemployment in the broader economy. Because the benefit is external to the transaction, it is not taken into account when calculating the price or quantity of the product. As Allison's current lease is expiring, she is attracted to the first apartment due to the bands that practice late at night, and she enjoys staying up late and listening to music. This results in an external benefit for her because she enjoys the music for free without having to pay for it. As a result, if Allison enjoys staying up late and loves listening to all kinds of music, she will view the bands practicing as an external benefit. Thus, option C is the right answer.

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Suppose capital one bank gives you a free t-shirt with the company's name for openinga bank account with them. This would be an example of?

Answers

Answer: an incentive

Explanation: incentives are rewards given for doing things

how does lever simplify the work? explain.​

Answers

Explanation:

A lever works by reducing the amount of force needed to move an object or lift a load. A lever does this by increasing the distance through which the force acts. ... Instead, they make the work easier by spreading out the effort over a longer distance.

Which of the following would the social security tax pay for? a health insurance b pensions for the elderly and disabled that qualified c vacations d education

Answers

B. Pensions for the elderly and disabled That qualified

Workplace diversity describes differences among workers in any of the following areas:
attitude
education
ethnicity
industry

Answers

Answer:

industry because here based the all the business in whole world

technological advances allow smaller companies to compete with larger companies. group of answer choices true false

Answers

True, Technological advances allow smaller companies to compete with larger companies.

What is company?
A company is a legal entity created by a group of people to conduct and manage a business enterprise, whether it be commercial or industrial. Depending on the corporate law of its jurisdiction, a company may be set up in a variety of ways for tax and financial liability reasons. The type of business structure a company chooses, such as a partnership, sole proprietorship, or corporation, will typically depend on the industry it operates in. The ownership structure of the business is also indicated by these structures. Additionally, they can tell private from public companies. Both have different ownership arrangements, laws, and rules regarding financial reporting.

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Verify why the farmers' credit union chose to increase Farm B's line of credit but not Farm A's in the following scenario:
Farm A has current assets of $150,000 and current liabilities of $125,000. Farm B has current assets of $100,000 and current liabilities of $75,000.

Answers

Answer:

see below

Explanation:

he farmers must have considered the ability to repay back loans when making the decision. The ability of a business to meet its current obligations is expressed by the current ratio.

The current ratio or working capital ratio communicates a firm's ability to repay debts as they become due. The higher the ratio, the better.

the current ratio is calculated as current assets/current liabilities

For Firm A,

current ratio =$150,000/ $125,000.

=1.2

For Firm B,

current ratio =$100,000/$75,000

=1.333

Firm B has a better current ratio than Firm A. Firm B is in a better position to repay loans compared to Firm A.

What were the alternatives you considered at the time of choice? (Consumer Ed)

Answers

Values, goals, opportunity cost.

To be eligible for federal grants to pay for college, a student must _____.

(PLATO CORRECT ANSWER ONLY)

A. attend either a public university or community college
B. complete one year of college in good standing
C. complete the FAFSA before the deadline
D. be able to pay more than half the tuition

Answers

C. A student must complete the FAFSA before the deadline to be religionless for federal grants

A company finds that if it produces and sells q units of a product, its total sales revenue in dollars is 100
q

If the variable cost per unit is 13 dollars and the fixed cost is 533dollars, find the largest quantity of the product sold for which Sales revenue = Fixed cost + Variable cost Round your answer to a whole place. QUESTION 4 A scientist must prepare 1171ml of a chemical solution made up of 4 parts of hydrochloric aci, 10 parts of suphunc acid and 6 parts of carbonic acd. How much of hydrochioric acid should he use? Write your answer up to two decimals.

Answers

To prepare 1171ml of the chemical solution with the given ratio, the scientist should use approximately 234.2 ml of hydrochloric acid.

To find the largest quantity of the product sold for which sales revenue equals the sum of fixed cost and variable cost, we can set up the equation:

100q = 533 + 13q

Simplifying the equation:

87q = 533

q ≈ 6.13

Therefore, the largest quantity of the product sold would be approximately 6 units.

For the second question, to prepare 1171ml of a chemical solution with the given ratio, we can calculate the amount of hydrochloric acid needed:

4 parts of hydrochloric acid = (4/20) * 1171 ml = 234.2 ml

Therefore, the scientist should use approximately 234.2 ml of hydrochloric acid.

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Indicate the point where a monopoly will set its price.

Indicate the point where a monopoly will set its price.

Answers

Answer:

A monopoly will set its price at the point where marginal cost and marginal revenue intersects or meet (MC = MR).

Explanation:

A monopoly is a market structure which is typically characterized by a single-seller who sells a unique product in the market by dominance. Thus, it is a market structure wherein the seller has no competitor because he is solely responsible for the sale of unique products without close substitutes. Any individual that deals with the sales of unique products in a monopolistic market is generally referred to as a monopolist.

For example, a public power company that serves as the only power utility (electricity) provider to the public.

Generally, a monopoly will set its price at the point where marginal cost and marginal revenue intersects or meet (MC = MR). This is simply because a monopoly would derive the maximum profit at the point where MC = MR.

Answer:

The dot where green and red meet.

Explanation:

what effect will the aquisition of treasury stock have on stockholders equity and earnings per share

Answers

Acquisition of treasury stock reduces the number of outstanding shares and increases earnings per share, but it does not affect total stockholders' equity.

When a company acquires treasury stock, it buys back its own shares of stock from the market. This leads to a reduction in the number of outstanding shares of the company, which causes an increase in earnings per share (EPS) because earnings are divided among fewer shares. However, the acquisition of treasury stock does not affect total stockholders' equity because treasury stock is not considered an asset of the company.

The purchase of treasury stock reduces the total number of outstanding shares, thus increasing the EPS. Treasury stock is a contra-equity account and it is deducted from the stockholders' equity section of the balance sheet. However, the acquisition of treasury stock does not affect the total stockholders' equity. Therefore, it reduces the total shareholders' equity but increases earnings per share.

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let’s say a trader sold a 71 strike call option on xyz for $1.50 ($150 total, excluding commissions and fees) when xyz was trading at $70. xyz is now trading at $70. how much intrinsic value does this option have?

Answers

The result will be negative, indicating that the option is out-of-the-money, the intrinsic value of this option is zero.

The intrinsic value of a call option is the difference between the current price of the underlying asset and the strike price of the option, if it is positive. If the option is out-of-the-money (the current price is lower than the strike price), the intrinsic value is zero.

In this scenario, the trader sold a 71-strike call option on XYZ for $1.50 when XYZ was trading at $70. Currently, XYZ is also trading at $70.

To calculate the intrinsic value, we compare the current price of XYZ ($70) with the strike price of the option ($71):

Intrinsic Value = Current Price of XYZ - Strike Price

Intrinsic Value = $70 - $71

Intrinsic Value = -$1

Since the result is negative, indicating that the option is out-of-the-money, the intrinsic value of this option is zero.

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X-Perience manufactures snowboards. Its cost of making 24,900 bindings is as follows: (Click the icon to view the costs. ) Suppose an outside supplier will sell bindings to X-Perience for $14 each. X-Perience will pay $2. 00 per unit to transport the bindings to its manufacturing plant, where it will add its own logo at a cost of $0. 70 per binding. Read the requirements. Х Data table Requirements w whether the company should ma ce column when the cost to make e Direct materials $ 27,000 84,000 Direct labor. Variable manufacturing overhead Fixed manufacturing overhead 54,000 84,000 1. X-Perience's accountants predict that purchasing the bindings from the outside supplier will enable the company to avoid $2,000 of fixed overhead. Prepare an analysis to show whether the company should make or buy the bindings. 2. The facilities freed by purchasing bindings from the outside supplier can be used to manufacture another product that will contribute $3,400 to profit. Total fixed costs will be the same as if X-Perience had produced the bindings. Show which alternative makes the best use of X-Perience's facilities: (a) make bindings, (b) buy bindings and leave facilities idle, or (c) buy bindings and make another product. $ 249,000 Total manufacturing costs Cost per pair ($249,000 = 24,900) $ 10. 00 X-Perience manufactures snowboards. Its cost of making 24,900 bindings is as follows: Requirement 1. X-Perience's accountants predict that purchasing the bindings from the outside supplier will enable the company to avoid $2,000 of fixed overhead. Prepare an analysis to show whether the company should make or buy the bindings. (Enter a "o" for any zero balances. Round any per unit amounts to the nearest cont and your final answers to the nearest whole dollar. Use a minus sign or parentheses in the Difference column when the cost to make exceeds the cost to buy. ) a Incremental Analysis Outsourcing Decision Make Bindings Buy (Outsource) Bindings Difference Variable Costs Plus: Fixed Costs Total cost of 24,900 bindings Decision Requirement 2. The facilities freed by purchasing bindings from the outside supplier can be used to manufacture another product that will contribute $3. 400 to profit. Total fixed costs will be the same as if X-Perience had produced the Show which alternative makes the best use of X <-Perlence's facilities: (a) make bindings. (b) buy bindings and leave facilities idle, or (c) buy bindings and make another product. (Enter a 'o'for any zero balances. Round any per unit amounts to e bindings the nearest cent and your final answers to the nearest whole dollar. ) Buy (Outsource) Bindings Incremental Analysis (a) Make (b) Leave (c) Make Outsourcing Decision Binding Facilities Idle Another Product Variable Costs Plus: Fixed Costs Total cost of 24,900 bindings Less: Profit from another product Net cost Decision:

Answers

Requirement 1: X-Perience should outsource the bindings since it can save $5.70 ($16.70 - $10.99) per binding, or $141,930 ($5.70 × 24,900) in total.

Requirement 2: X-Perience should buy bindings from an outside supplier and use the facilities to manufacture another product.

1. Analysis to show whether the company should make or buy the bindings:X-Perience should buy bindings from the outside supplier. Here's why:Variable costs per binding:

Direct materials: $27,000/24,900 = $1.08Direct labor: $84,000/24,900 = $3.37Variable manufacturing overhead: $54,000/24,900 = $2.17Total variable cost per binding: $6.62

Total cost per binding if X-Perience makes it:Variable cost per binding: $6.62Fixed manufacturing overhead cost per binding: $84,000/24,900 = $3.37

Total cost per binding: $10.99X-Perience will pay $14 + $2 + $0.70 = $16.70 per binding to buy from an outside supplier. The cost to make each binding is $10.99. Therefore, X-Perience should outsource the bindings since it can save $5.70 ($16.70 - $10.99) per binding, or $141,930 ($5.70 × 24,900) in total.

2. Analysis to show which alternative makes the best use of X-Perience's facilities:X-Perience should buy bindings from an outside supplier and use the facilities to manufacture another product since it will lead to the highest profit. Here's why:

Total fixed cost of making the bindings: $84,000 + $84,000 = $168,000

Total cost of making the bindings: $249,000 + $168,000 = $417,000

Total profit from making another product: $3,400Total cost of outsourcing bindings: $16.70 per binding × 24,900 = $416,730

Total net cost of making another product after outsourcing the bindings: $416,730 - $3,400 = $413,330If X-Perience makes bindings, then it has no facilities left to manufacture another product, so the total profit will be $0. If X-Perience buys bindings and leaves the facilities idle, then the total profit will be $0. However, if X-Perience buys bindings and makes another product, then the total profit will be $3,400. Therefore, X-Perience should buy bindings from an outside supplier and use the facilities to manufacture another product.

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Mentors are able to help a person not only increase their ______ but they also provide essential help to learn the dynamics of leadership.

Answers

Someone who helps another person to increase their confidence and provide them essential tips on how learn the dynamics of leadership is known as a Mentor.

Who are called a mentor?

In essence, a mentor is an individual that teaches, advice or specifically gives help to a less experienced and younger person.

In conclusion, a typical mentors are people that help person to increase their confidence and provide them essential help on how learn the dynamics of leadership.

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Cycle time is the time between when an order is placed and when it is completed. True or False.

Answers

The given statement "Cycle time is the time between when an order is placed and when it is completed" is True. Cycle time is indeed the time between when an order is placed and when it is completed. In other contexts, cycle time can refer to the time it takes to complete a task or process, such as the time it takes to process a customer order, handle a customer service request, or complete a software development sprint.

It is an important measure of the efficiency and effectiveness of a process, as it helps to determine how quickly an organization can fulfill an order and how quickly it can respond to changes in demand.

The shorter the cycle time, the more responsive and agile the organization can be. Therefore, it is important for organizations to monitor and improve their cycle time in order to maintain a competitive edge.

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where is my brother kadin

Answers

He up my butt hole, lol

where did u see him last

A supererogatory act is an act that is beyond the call of duty.
True
False

Answers

the answer is .... TRUE

please give me brainliest answer!! ☺️

An annuity is a stream of level, evenly spaced cash flows or cash payments that never ends. group of answer choices
A. true
B. false

Answers

The statement "An annuity is a stream of level, evenly spaced cash flows or cash payments that never ends" is false?

What is an annuity?

An annuity is a stream of level, evenly cash flows or cash payments that is paid to an individual over a definite number of years, in other words, an annuity has a fixed term not that it is paid forever or indefinitely.

However, perpetuity is the stream of evenly spaced cash flows that a beneficiary receives forever, it is similar to annuity, but the difference in the period of payments,  the former has a fixed tenure such as 10 years, whereas the latter is never ending.

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You can find more sample questions and into on our Numerical Reasoning

Test study guide.

1. Jaimie found a bank that offers 3% interest annually for savings accounts.

Jaimie's sister Angie finds a different bank account that offers 3. 75%

interest annually. If they both invest $500 today and neither of them touch

the bank accounts for ten years, how much more money will Angie have

at the end of the ten years?

Answers

After ten years, Angie will have approximately $47.64 more than Jaimie.

Jaimie found a bank that offers 3% interest annually for savings accounts, while Angie found a different bank account that offers 3.75% interest annually. They both invested $500 today and didn't touch the accounts for ten years. To find out how much more money Angie will have at the end of ten years, we can use the formula for compound interest.

To calculate the amount of money Jaimie will have after ten years, we use the formula:

A = P * (1 + r/n)^(nt)

Where:
A is the amount of money after the time period,
P is the principal amount (initial investment),
r is the annual interest rate (as a decimal),
n is the number of times interest is compounded per year,
and t is the number of years.

For Jaimie:
P = $500
r = 3% or 0.03 (as a decimal)
n = 1 (since it's compounded annually)
t = 10

Plugging in the values, we get:
A = 500 * (1 + 0.03/1)^(1*10)
A = 500 * (1 + 0.03)^10
A = 500 * (1.03)^10
A ≈ 500 * 1.343916379
A ≈ $671.96 (rounded to two decimal places)

Now let's calculate the amount of money Angie will have after ten years:

For Angie:
P = $500
r = 3.75% or 0.0375 (as a decimal)
n = 1 (since it's compounded annually)
t = 10

Plugging in the values, we get:
A = 500 * (1 + 0.0375/1)^(1*10)
A = 500 * (1 + 0.0375)^10
A ≈ 500 * (1.0375)^10
A ≈ 500 * 1.439195092
A ≈ $719.60 (rounded to two decimal places)

To find out how much more money Angie will have at the end of ten years, we subtract Jaimie's amount from Angie's amount:
$719.60 - $671.96 = $47.64
After ten years, Angie will have approximately $47.64 more than Jaimie.

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Type of account : Actively Managed mutual funds

minimum amt to invest

types of investments

how do you make money in actively managed mutual funds

how can you buy the fund

when you can buy or sell



Passively managed index funds

fees

minimum amt to invest

type of investment

how you make money

how can you buy the fund passively managed index funds

when can you buy sell

requiring hold period

Answers

Depending on the fund and the organization that is selling it, the minimum investment amount in actively managed mutual funds can change. The required minimum investment can typically range from a few hundred to several thousand dollars.

The minimum investment amounts and transactional fee structures for managed accounts are often rather high. Mutual funds or exchange-traded funds that have their investments made by portfolio managers are known as actively managed funds. The hope is that actively managed mutual funds will outperform their benchmarks when people invest in them. Additionally, actively managed funds acquired as part of a specific strategy may be a complement to index funds in a portfolio and aid in lowering downside risk and reducing market volatility.

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According to liquidity preference theory, the money-supply curve would shift rightward a. if the Federal Reserve chose to increase the money supply. b. if the interest rate increased. c. if the money demand curve shifted right. d. if the price level increased.

Answers

According to liquidity preference theory, there is a rightward shift in the money supply curve when the federal reserve decides to raise the money supply.

Option A is the correct answer.

What is a federal reserve?

The federal reserve is the central banking authority in America which was established in the year 1913 under the Federal Reserve Act.

When the federal reserves increase the money supply then the money supply curve moves in the right direction and when the federal reserve decreases the money supply then the money supply moves toward the left. This shows a direct relationship between the federal reserve and the money supply curve.

Therefore, there is a rise in money supply by the Federal reserve causing the money supply curve to shift in the right direction.

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The average life expectancy of which type of economy is generally very high?
A.
economies with a high HDI and GDP
B.
economies with a low HDI and GDP
C.
economies with a high GDP
D.
economies with a low GDP
E.
economies with a high PPP only

Answers

Answer:

c

Explanation:

im not 100% sure but i think c is the one

Other Questions
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