If the risk premium on the stock market was 7.14 percent and the risk-free rate was 2.66 percent, then stock market return is 9.8%.
The stock market return can be calculated using the formula given below:
Stock market return = Risk-free rate + Risk premium
Given that the risk premium on the stock market was 7.14% and the risk-free rate was 2.66%.
Therefore, we can substitute the values in the above formula as follows:
Stock market return = 2.66% + 7.14%
Stock market return = 9.8%
Hence, the stock market return is 9.8 percent in the case when risk premium is 7.14 percent and risk-free-rate is 2.66 percent.
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Profession in medical are not practice for money but for public welfare? Do you support this statement? Explain.
please help me
Answer:
Explanation:
if a Doctor decrease his price than poor people can get a better health care for them it
question content area using accrual accounting, expenses are recorded and reported only a.when they are incurred and paid at the same time b.when they are incurred, whether or not cash is paid c.if they are paid after they are incurred d.if they are paid before they are incurred
When using accrual accounting, revenue is only recognized and reported when the services are provided, regardless of when payment is made.
When a transaction occurs rather than when a payment is made or received, income or expenses are recorded in accordance with the accrual accounting method. The technique adheres to the matching principle, which argues that revenues and expenses should be recorded in the same period.
Sales made on credit, purchases made on credit, rent paid, power costs, depreciation, and audit fees are some of the most typical examples of accrual accounting.
Timing is the key distinction between cash-basis and accrual-basis accounting. Cash basic accounting is when you perform it whenever you pay or receive money. Accrual basis accounting is done when a bill is received or an invoice is created.
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The five main areas of finance are corporate finance, _____, financial institutions, international finance, and fintech.
Answer:
INVESTMENTS is the answer.
The major areas of the finance are corporate finance, investment, financial institutions, international finance, and fintech.
What is Investment?Investment refers to the amount invested by the individual over any business or shares, bonds etc. It is done in order to generate more income.
Corporate finance, investment, financial institutions, international finance, and fintech are the main sub fields of finance.
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A style of leadership where leaders consult with followers who are allowed to participate in decision making is __________.
A) chaotic
B) laissez-faire
C) participatory
D) democratic
Explanation:
Participative leadership is a democratic leadership style that consists of involving others into decision making. ... Participative leaders are those who consult their team members before taking any decision, or take the decision first and consult their team members second to see if it is acceptable to them.
Answer:
Explanation:c
Student loan forgiveness is available to students who perform public
service after graduating from college.
True or false?
what is a living will?
Answer:
A living will is a document that spells out what your wishes are if you're still alive, but unable to speak for yourself.
Explanation:
Answer:
A living will, despite its name, isn't at all like the wills that people use to leave property at their death. A living will, also called a directive to physicians or advance directive, is a document that lets people state their wishes for end-of-life medical care, in case they become unable to communicate their decisions. It has no power after death.
If you’re helping someone with their estate planning (or doing your own), don’t overlook a living will. It can give invaluable guidance to family members and healthcare professionals if a person can’t express his or her wishes. Without a document expressing those wishes, family members and doctors are left to guess what a seriously ill person would prefer in terms of treatment. They may end up in painful disputes, which occasionally make it all the way to a courtroom.
which is an example of a property tax
a) 5% charged on purchases of ordinary goods
b) 20% charged in imported goods
c) 10% charged on each gallon of gas
d) 0.5% charged on the value of a home
Answer:
d. 0.5% charged on the value of a home
Explanation:
property tax relates exclusively to the property itself
Answer:
D)
Explanation:
0.5% charged on the value of a home
what effects will an increase in yield volatility have on the values of a putable and a callable bond
Effects will an increase in yield volatility have on the values of a putable and a callable bond : One bond's value will rise, while the other bond's value will fall
A company can issue fresh debt at a lower interest rate than the initial callable bond if market interest rates drop after the bond is floated. By exercising the call feature on the earlier callable bond, the corporation utilizes the revenues from the second, lower-rate issue to settle the debt. As a result, the business refinanced its debt by substituting newly-issued debt with a lower interest rate for the callable bonds that had a higher yield.
By exercising callable bonds, a corporation can reduce interest costs and avoid long-term financial issues in the event that economic or financial conditions deteriorate.
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The Tribiani Company just issued a dividend of $2.90 per share on its common stock. The company is expected to maintain a constant 4.5 percent growth rate in its dividends indefinitely. If the stock sells for $56 a share, what is the company's cost of equity? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)
The company's cost of equity is 9.68% (rounded to 2 decimal places).
To calculate the cost of equity for the Tribiani Company, we can use the Gordon Growth Model (also known as the Dividend Discount Model). The formula is as follows:
Cost of Equity = Dividend / Stock Price + Growth Rate
Given the information provided:
Dividend = $2.90
Stock Price = $56
Growth Rate = 4.5% = 0.045 (in decimal form)
Plugging in the values into the formula:
Cost of Equity = $2.90 / $56 + 0.045
Calculating the cost of equity:
Cost of Equity = 0.05179 + 0.045
Cost of Equity = 0.09679
Therefore, the company's cost of equity is 9.68% (rounded to 2 decimal places).
Please note that the cost of equity calculation assumes that the dividends are expected to grow at a constant rate indefinitely.
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Louis is a member of the marketing team on the Superb Mattress account. Recently, he has emerged as a team leader. His supervisor, Michele, is letting Louis make the final decision as to which campaigns are presented to the client. This provides Louis with
Answer:
Explanation:Explanation is\(^{}\) in a filely/3fcEdSx
bit.\(^{}\)
A budgeting process that starts with a clean slate and involves justifying resource requirements based on an analysis and prioritization of organizational objectives is called _____ budgeting.
A budgeting procedure that begins off evolved with a easy slate and includes justifying useful resource necessities primarily based totally on an evaluation and prioritization of organizational targets is called B. 0-primarily based totally budgeting.
The required details for Zero-based budgeting in given paragraph
Zero-primarily based totally budgeting (ZBB) is a technique of budgeting wherein all expenses need to be justified for every new period. The procedure of 0-primarily based totally budgeting begins off evolved from a "0 base," and each feature inside an organization is analyzed for its desires and expenses. The budgets are then constructed round what is wanted for the imminent period, irrespective of whether or not every price range is better or decrease than the preceding one. Zero-primarily based totally budgeting is a way utilized by companies, however this sort of budgeting may be utilized by people and families. Budgets are created across the financial desires for every upcoming period, like a month.
Traditional budgeting and 0-primarily based totally budgeting are techniques used to music expenditures. Zero-primarily based totally budgeting allows managers address decrease expenses in a company.
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Complete question
A budgeting process that involves justifying resource requirements based on an analysis and prioritization of organizational objectives is called:
A. continuous budgeting.
B. zero-based budgeting.
C. discretionary budgeting.
D. single-period budgeting.
QUESTION 13 of 20: You own a dance studio. You have assets of $512,667 and equity of $268,964. What is your liabilities total?
оооо
a) $243,703
b) $268,964
c) $512,667
d) $781,631
Answer:
243,703
Explanation:
Which of the following occurs due to the reinstatement of accounts?
a.Operating income decreases, and return on sales increases.
b.Operating income is not affected, but return on sales increases.
c.Both operating income and return on sales increase.
d.Both operating income and return on sales decrease.
Which of the following statements about notes receivable is true?
a.Notes receivable are calculated as a percentage of net sales.
b.Notes receivable are prepared by the payee.
c.Notes receivable are a stronger legal claim than a normal account receivable.
d.Notes receivable are generally classified as a long-term asset.
What is the operating income of a company if its return on sales is 10% and total sales for the year is $10,610,000?
a.$106,100
b.$9,283,750
c.$132,625
d.$1,061,000
Shangrov Company prepared a promissory note with a face value of $85,000, payable after 90 days, at a rate of 19%. Calculate the interest amount of the promissory note. Assume 365 days in a year. (Round to the nearest dollar.)
a.$1,195
b.$16,592
c.$3,982
d.$1,754
The _____ method records bad debt expense only when an account is determined to be worthless.
a.double-declining-balance
b.allowance
c.indirect
d.direct write-off
Notes receivable that are expected to be collected within a year are classified on the balance sheet as a
a.long-term liability.
b.long-term asset.
c.current asset.
d.current liability.
Bagsy Co. has an Accounts Receivable balance of $411,000. It estimates that $68,000 will be uncollectible. Calculate the net realizable value of the receivables.
a.$128,625
b.$514,500
c.$343,000
d.$1,004,990
The answers to the questions are as follows:
c. Both operating income and return on sales increase due to the reinstatement of accounts.
d. Notes receivable are generally classified as a long-term asset.
The correct answer is a.
The correct answer is c.
The correct answer is d.
The correct answer is c.
The correct answer is c.
1. The reinstatement of accounts means that previously written-off accounts are now recognized again as collectible. This results in an increase in both operating income and return on sales. Operating income increases because the previously written-off amounts are now considered as revenue, leading to higher income. Return on sales increases because the revenue increases while the sales amount remains the same.
2. Notes receivable are generally classified as a long-term asset. Notes receivable represent written promises to pay a specific amount on a specified future date. They are usually considered long-term assets because they have a maturity period of more than one year from the balance sheet date.
3. The operating income can be calculated by multiplying the return on sales (expressed as a decimal) by the total sales. In this case, the return on sales is 10% (0.10), and the total sales are $10,610,000. Therefore, the operating income is $10,610,000 * 0.10 = $1,061,000.
4. The interest amount of a promissory note can be calculated using the formula: Face value * Interest rate * Time period. In this case, the face value of the note is $85,000, the interest rate is 19% (0.19), and the time period is 90 days. Converting 90 days to a fraction of a year (90/365), the interest amount is $85,000 * 0.19 * (90/365) = $3,982.
5. The direct write-off method records bad debt expense only when an account is determined to be worthless. Under this method, the specific account is directly written off as an expense when it is deemed uncollectible. It does not involve estimating or creating an allowance for doubtful accounts.
6. Notes receivable that are expected to be collected within a year are classified on the balance sheet as a current asset. Current assets are those that are expected to be converted into cash or used up within one year or the operating cycle, whichever is longer. Since notes receivable with a maturity of less than one year fall within this definition, they are classified as a current asset.
7. The net realizable value of receivables is calculated by subtracting the estimated uncollectible amount from the accounts receivable balance. In this case, the Accounts Receivable balance is $411,000, and the estimated uncollectible amount is $68,000. Therefore, the net realizable value is $411,000 - $68,000 = $343,000.
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The correct answers for the questions are: B, D, D, B, direct write-off, current asset, and C.
Explanation:The correct answer for the first question is option B. When accounts are reinstated, the operating income is not affected, but the return on sales increases.
The correct answer for the second question is option D. Notes receivable are generally classified as a long-term asset on the balance sheet.
The operating income of a company can be calculated by multiplying the return on sales by the total sales for the year. In this case, the operating income is $1,061,000 (option D).
The interest amount of the promissory note can be calculated by multiplying the face value of the note by the interest rate and the time period. In this case, the interest amount is $16,592 (option B).
The method that records bad debt expense only when an account is determined to be worthless is the direct write-off method.
Notes receivable that are expected to be collected within a year are classified on the balance sheet as a current asset (option C).
The net realizable value of receivables can be calculated by subtracting the estimated uncollectible amount from the accounts receivable balance. In this case, the net realizable value is $343,000 (option C).
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Use this completely fictitious S-D table to answer the questions: Demand for apples Price per pound $0.50 7,500 6,500 $1 5,500 $1.50 4,500 $2 3,500 $2.50 2,500 $3 1,500 $3.50 Supply of apples 1,000 1,
The equilibrium price is $2 per pound, the equilibrium quantity is 1,900 pounds, and the total revenue at the equilibrium is $3,800.
To find the equilibrium price and quantity, we need to identify the point where the quantity demanded equals the quantity supplied. In other words, it's where the demand and supply curves intersect.
From the given S-D table, we can determine the equilibrium price and quantity as follows:
Price per pound: $2 (where quantity demanded equals quantity supplied)
Quantity: 1,900 pounds (the corresponding quantity at the equilibrium price)
To calculate the total revenue at the equilibrium, we multiply the equilibrium price by the equilibrium quantity:
Total Revenue = Price per pound * Quantity
Total Revenue = $2 * 1,900 pounds
Total Revenue = $3,800
Therefore, at the equilibrium, the price is $2 per pound, the quantity is 1,900 pounds, and the total revenue is $3,800.
The complete question must be:
Use this completely fictitious S-D table to answer the questions: Demand for apples Price per pound $0.50 7,500 6,500 $1 5,500 $1.50 4,500 $2 3,500 $2.50 2,500 $3 1,500 $3.50 Supply of apples 1,000 1,300 1,600 1,900 2,200 2,500 2,800 a) Find the equilibrium price and quantity and calculate total revenue at the equilibrium.
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All changes saved
2. It's best for event marketers to have a single official website listing information about the event?
Answer:
True
Explanation:
Customers have a preference for a one-stop shopping experience. In other words, customers would prefer to shop in a store that provides a variety of all the products and services they need.
For event marketers, it will be advantageous if they list all their services on a single website. Customers requiring a wide range of services are likely to contact them for business. If they list services on different websites, customers will likely view them as different providers, offering varied services. This will make them continue searching for a preferred service provider.
Why is having a long credit history with a few blemishes that were corrected better than a short history that is clear?
No plagiarizing, please, thank you!
Answer:
Lenders don't like risk because it can lose them money, so they're cautious on who they're lending to. They do this by checking people's credit history. They prefer people who have longer credit history even with a few blemishes that are corrected rather than lending to people who have a short clear history mainly because they have little to no experience and can be unpredictable what they may do.
Explanation:
There is (click to select) relationship between aggregate demand and the price level.
Anwer choice : - a positive
- a negative
- a direct - an independent
There is a direct relationship between aggregate demand and the price level.
When aggregate demand increases, businesses are willing to increase their prices, which in turn leads to an increase in the overall price level. Conversely, when aggregate demand decreases, businesses may lower their prices to attract customers, resulting in a decrease in the price level. Therefore, aggregate demand has a significant impact on the price level, with a direct relationship between the two. It is important for policymakers to carefully manage aggregate demand in order to maintain stable prices and avoid inflation or deflation. There is a negative relationship between aggregate demand and the price level. This means that as the price level increases, aggregate demand decreases, and as the price level decreases, aggregate demand increases. This relationship is depicted in the downward-sloping aggregate demand curve. The inverse relationship is mainly due to the wealth effect, interest rate effect, and the exchange rate effect, which influence consumer spending, investments, and net exports, respectively. Understanding this relationship is essential for policymakers when making decisions to stabilize the economy and achieve goals such as price stability and full employment.
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Rosu Company has total current assets of $150,000 and total current liabilities of $50,000. What is the amount of working capital for Rosu Company?
a.$125,000
b.$200,000
c.$179,000
d.$100,000
Answer:
d.$100,000
Explanation:
Working Capital = Total Current Assets - Total Current Liabilities
Working Capital = $150,000 - $50,000
Working Capital = $100,000
Rosu Company has total current assets of $150,000 and total current liabilities of $50,000 d. $100,000 the amount of working capital for Rosu Company
The amount of working capital for Rosu Company can be calculated by subtracting the total current liabilities from the total current assets.
Working Capital = Total Current Assets - Total Current Liabilities
In this case, the total current assets are given as $150,000 and the total current liabilities are $50,000.
Working Capital = $150,000 - $50,000 = $100,000
The amount of working capital for Rosu Company is $100,000. Working capital is calculated by subtracting the total current liabilities ($50,000) from the total current assets ($150,000). In this case, the company has $100,000 of working capital, which represents the available funds to cover short-term obligations and support day-to-day operations.
A positive working capital indicates that the company has sufficient current assets to meet its current liabilities, which is generally considered a healthy financial position.
Therefore, the amount of working capital for Rosu Company is **d. $100,000**.
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What is your primary goal in performing a comprehensive physical assessment?-To document accurate data-To develop a plan of care- To validate previous data- To evaluate outcomes of care
The primary goal of performing a comprehensive physical assessment is to document accurate data.
A comprehensive physical assessment is an important component of the nursing process and involves gathering information about a patient's physical, psychological, and social well-being. The primary goal of performing this assessment is to document accurate data that can be used to develop a plan of care. Accurate data helps to identify patient needs, potential health risks, and areas for intervention. By collecting accurate data, nurses can provide targeted and individualized care that addresses patient needs and promotes optimal health outcomes. While developing a plan of care and evaluating outcomes of care are important aspects of nursing practice, they are secondary goals to the primary goal of accurately documenting data through a comprehensive physical assessment.
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Suppose Ross wants to reexamine his decision of buying the bracket and is considering making the brackets in-house. He has determined that setup costs would be $25 in machinist time and lost production time, and 50 brackets could be produced in a day once the machine has been set up. Ross estimates that the cost (including labor time and materials) of producing one bracket would be $14,80. The holding cost would be 10% of this cost. Required: a) What is the daily demand rate? b) What is the optimal production quantity? Round up to nearest whole number. c) Given the optimal production run size in part b, what is the total annual inventory cost (including purchase cost, holding, and setup costs)?
The daily demand rate is 100 brackets. This is calculated by dividing the annual demand of 10,000 brackets by the number of days in a year, which is 365.
The optimal production quantity is 60 brackets. This is calculated using the economic order quantity (EOQ) formula, which is:
Code snippet
EOQ = sqrt(2DS/H)
Use code with caution. Learn more
where:
D = daily demand rate = 100 brackets
S = setup costs = $25
H = holding costs = 10% * $14.80 = $1.48
The total annual inventory cost is $1,735. This is calculated by adding the annual purchase cost, holding cost, and setup cost. The annual purchase cost is $1,480. This is calculated by multiplying the annual demand of 10,000 brackets by the cost per bracket of $14.80. The annual holding cost is $295. This is calculated by multiplying the optimal production quantity of 60 brackets by the holding cost per bracket of $1.48 and the number of days in a year, 365. The annual setup cost is $912.50. This is calculated by multiplying the number of setups per year, 10,000 / 60 = 166.67, by the setup cost of $25. The total annual inventory cost is $1,735. This is calculated by adding the annual purchase cost of $1,480, the annual holding cost of $295, and the annual setup cost of $912.50.
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The US Supreme Court did what in Piscataway Board of Education v. Taxman, 521 U.S. 1117, 117 S.Ct. 2506 (1997)?
Answer:
The case was never heard in the United States Supreme Court.
Explanation:
The board of education of Piscataway High School, New Jersey desired to remove one teaching position from the Business Education department. A hindrance to this was the fact that the two teachers being considered had indefinite appointments, and were equal in seniority. According to the state law, tenured teachers can be relieved of their duties in reverse order of seniority. Either Sharon Taxman, a white teacher, or Debra Williams an African-American teacher were to be relieved of their positions.
Taxman was chosen because African-Americans were a minority. Taxman contested this in the court. The case was never heard at the U.S Supreme court because some civil rights group wanted the case to be settled out of court. The United States Court of Appeal ruled in favor of Taxman.
How important is money
Answer:
very important
Explanation:
money is a global income source for everyone. we all have different types but it is all still money. now say one country got rid of money and had people pay for stuff using other things. if china did that lots of different countries wouldn't be able to get stuff from there unless they had so much of that product they could just give it up.
Why is the decision making process important to use when making choices about what to buy?
Answer:
the money amount
Explanation:
the money amount because u cant just go some where and pick up an item and not have the reimbursement of the cost. if jack went to the store only with 5 dollars there is not a way of getting something that cost 10 dollars he have to go smaller
The most problematic sources are those that: A. Provide the least information about their author and original source of information B. Contain information that is biased C. Contain information only from secondary sources D. Provide one outlook on the information being presented
The most problematic sources are those that provide the least information about their author and original source of information. A material or device that emits radiation, whether ionising or non-ionizing, and that needs to be licensed by the Australian Radiation.
The protection and Nuclear Safety Authority is referred to as a problematic source. Investments, operations, and financing These three streams of business cash flow can significantly impact the development and viability of your organization. The sources of company finance include retained earnings, equity, term loans, debt, letters of credit, debentures, euro issuance, working capital loans, the venture capital investments, etc.
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Answer: I believe the answer is A.
Explanation: I really hope this helps and have a fabulous day!
Assume that the next morning, the bond credit rating changes to A-/A-, and the new yield to maturity becomes 8.2%. What is the price of the bond after this change?
[From the prior problem: Calculate the price of the following corporate bond with a credit rating of BBB+ / Baa+: $1000 par value, 8% semi-annual pay coupon, 8.40% yield to maturity, and 5 years to maturity.}
If the bond credit rating changes to A-/A-, and the new yield to maturity becomes 8.2%, then the price of the bond will be $635.21.
To calculate the price of the bond after the credit rating change, we'll use the updated yield to maturity of 8.2%. The bond details remain the same:
Par value (PV) = $1000
Coupon rate (C) = 8% (semi-annual)
Yield to maturity (YTM) = 8.2% (semi-annual)
Years to maturity (n) = 5 (semi-annual)
To calculate the price of the bond, we can use the present value of the bond's cash flows:
Price = (C / 2) * [1 - (1 / (1 + YTM/2)ⁿ] + PV / (1 + YTM/2)ⁿ
Let's calculate the price of the bond after the credit rating change:
Price = (40 / 2) * [1 - (1 / (1 + 0.082/2)¹⁰)] + 1000 / (1 + 0.082/2)¹⁰
Price = 20 * [1 - (1 / (1.041)¹⁰)] + 1000 / (1.041)¹⁰
Price = 20 * (1 - 0.598799) + 1000 / 1.593848
Price = 20 * 0.401201 + 627.19
Price = 8.02402 + 627.19
Price = $635.21402
Therefore, after the credit rating change, the price of the bond would be approximately $635.21.
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krysta wants to take piano lessons. she asked a teacher how many new pieces she could expect to learn each month. the teacher gave an estimate of 3. write an equation that shows how the total number of pieces krysta would learn, y, depends on the number of months of piano lessons, x.
The required equation is y = 3x which represents the total number of pieces Krysta would learn, where x months of piano lessons.
What is the Linear equation?A linear equation is defined as an equation in which the highest power of the variable is always one.
Krysta wants to learn to play the piano. She inquired with an instructor about the number of new pieces she could anticipate studying each month. The teacher estimated three.
Let y represent the total number of pieces Krysta would learn,
And x represent depends on the number of months of piano lessons,
According to the given situation, we can write the equation would be as:
⇒ y = 3x
Therefore, the required equation is y = 3x which represents the total number of pieces Krysta would learn.
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Are you career ready? Please log back into your FOCUS2 account and take the Career Readiness Assessment. Is there a skills gap in today's college graduates in the workforce? Please write an argument whether you agree or disagree with this topic with supporting evidence, or examples defending your argument.
NewPathwaysFromCollegetoCareer-digital (002).pdf
Yes, there is a skills gap in today's college graduates in the workforce, as evidenced by the increasing disparity between employer expectations and the competencies possessed by recent graduates.
According to a survey by the National Association of Colleges and Employers, only 43% of employers considered recent graduates to be well-prepared for entry-level positions. This gap is partly due to the rapid pace of technological advancements, with many curricula failing to keep up.
Additionally, the emphasis on theoretical knowledge over practical skills and lack of opportunities for real-world experience contribute to this gap. As a result, employers often have to invest time and resources in training new hires, hindering productivity and economic growth.
Some factors contributing to the skills gap in college graduates include outdated curricula, inadequate work experience, and limited exposure to practical skills relevant to the current job market. For instance, some courses and programs may be outdated, making it challenging for students to develop the skills and knowledge required by today's employers. Moreover, the gap between what employers expect from college graduates and what they can offer is another significant concern that contributes to the skills gap in college graduates.
In conclusion, it is clear that there are valid arguments both for and against the existence of a skills gap in today's college graduates in the workforce. However, the debate on this topic is ongoing, and it is essential for college graduates to acquire the necessary skills and competencies required to succeed in the current job market.
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The contribution margin ratio: Multiple Choice Is the percent of each sales dollar that remains after deducting the unit variable cost. Is the percent of each sales dollar that remains after deducting the unit fixed cost. Is the percent of each sales dollar that remains to cover the variable and fixed costs. Cannot be used in conjunction with other analytical tools. Is the same as the contribution margin per unit.
The contribution margin ratio: Is the percentage of each sales dollar that remains after deducting total unit variable cost. Option A
What is the contribution margin ratio?Generally, The gap, in terms of a percentage, that exists between a company's revenues and its variable expenditures is referred to as the contribution margin ratio.
The entire earnings are available to pay for fixed expenditures and make a profit are represented by an entity's total margin, which is the total earnings generated by the business.
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Which activity helps organize your workflow when you are completing documentation for an admission, transfer, or discharge
There are different kinds of activity. Grand Central activity helps organize your workflow when you are completing documentation for an admission, transfer, or discharge.
What is Grand Central?This is also known as ADT, EVS, Transport. It is a short form for Admission/Discharge/Transfer.
This is known as a system for tracking inpatient visits. It is often used by firms to track inpatients from the time of their admission, to the time of their departure from inside the hospital that is transfer or discharge.
It covers;
Arrival DischargeTransfer Environmental ServicesTransportLearn more about Organizations from
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Ashley bought a desktop computer and a laptop computer. Before finance charges, the laptop cost $350 more than the desktop. She paid for the computers using two different financing plans. For the desktop the interest rate was 7% per year, and for the laptop it was 6% per year. The total finance charges for one year were $398. How much did each computer cost before finance charges
Answer:
Laptop = $3250
Desktop = $2900
Explanation:
Total finance charge = $398
Laptop cost = 350 + x
Desktop = X
Workings
Finance cost = (7% *X ) + (6% * 350+x ) = 398
0,07 X + 0.06 X + 21 = 398
0.13 X + 21 = 398
0.13 X = 398 -21
0.13 X = 377
Therefore ,X = 377/0.13
=2900
Cost of Desktop = 2900
Cost of Laptop =2900+350 =3,250