Suppose the current account is −$1,250 and the financial account is $1,400. in this case, to achieve balance, the statistical discrepancy must be $2,650 .
To achieve balance, the statistical discrepancy must be equal to the difference between the current account and the financial account. In this case, the current account is -$1,250 and the financial account is $1,400.
To find the statistical discrepancy, we subtract the current account from the financial account:
$1,400 - (-$1,250) = $1,400 + $1,250 = $2,650
Therefore, the statistical discrepancy must be $2,650 to achieve balance.
The difference between two theoretically equal aggregates that results from basic statistics and estimation methods is referred to as "statistically discrepancy." There are typically two or more ways to calculate macroeconomic aggregates in national accounting, such as net lending and gross domestic product.
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If market share for five cleaning service companies are 8%, 13%, 6%, 25%, and 48%, the four firm concentration ratio would be ________.
27
49
94
Answer:
Explanation:
To calculate the four-firm concentration ratio, we need to add the market shares of the four largest firms in the industry.
The market shares of the five cleaning service companies are 8%, 13%, 6%, 25%, and 48%.
If we consider the four largest firms, their market shares would be 13%, 25%, 48%, and 8%.
Adding these market shares together, we get:
13% + 25% + 48% + 8% = 94%.
Therefore, the four-firm concentration ratio would be 94%. This indicates that the four largest firms in the cleaning service industry hold a significant portion of the total market share.
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As part of your retirement plan, you want to set up an annuity in which a regular payment of $80,121 is made at the end of each year. you need to determine how much money must be deposited earning 10% compounded annually in order to make the annuity payment for 20 years. round your answer to the nearest cent. a. $680,153.78 c. $682,115.24 b. $681,426.87 d. $683,759.64
As part of your retirement plan, you want to set up an annuity in which a regular payment of $681829.71 is made at the end of each year.
How much money must be deposited earning 10% compounded annually in order to make the annuity payment for 20 years?The calculation of an annuity follows a formula: Future Value of an Annuity =C (((1+i)^n - 1)/i), where C is the regular payment, i is the annual interest rate or discount rate in decimal, and n is the number of year or periods
To calculate the compound interest for a number of years together, we need to multiply P(1+i) to the power of the number of years of the deposit. So we end up with this formula: P (1+ i/n)n. This formula can be used to calculate compound interest that is compounded annually.
To determine the present value of an annuity, you can use the formula:
PV = PMT * [ (1 - (1 + r)^-n) / r ]
Where:
PV is the present value of the annuity
PMT is the regular payment (in this case, $80,121)
r is the annual interest rate (in this case, 10%)
n is the number of payments (in this case, 20)
Using this formula, we can calculate the present value of the annuity:
PV = 80121[1 - (1 + 0.1)^- 20]/0.1
PV = 80121[1 - (1.1)^- 20]/0.1
PV = 80121[1 - 0.149]/0.1
PV = 80121[0.851]/0.1
PV = 80121 × 8.51
PV = $681829.71
So, $681829.71 would need to be deposited earning 10% compounded annually in order to make the annuity payment of $80,121 for 20 years.
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what does the abbreviation of CD stand for. (this is financial i put it under business because it is the closest thing to financial literacy)
A. certificate of disposal
B.certificate of interest
C.credit of deferral
D.certificate of deposit
Answer:
D) certificate of deposit.
Explanation:
Firm A estimates that the value of the synergistic benefit from acquiring Firm B is $6,000. Firm B has indicated that it would accept a cash purchase offer of $35 per share. Should Firm A proceed
Firm A should consider other potential acquisition targets and compare the potential benefits and costs of each option.
While the initial information suggests that it may be beneficial for Firm A to proceed with the acquisition of Firm B, a more comprehensive analysis is needed to make an informed decision.
Based on the given information, it appears that the potential value of the synergistic benefit from acquiring Firm B is greater than the cost of the cash purchase offer that Firm B has indicated it would accept. Therefore, it would likely be advantageous for Firm A to proceed with the acquisition.
However, it is important for Firm A to conduct a thorough analysis of the potential synergies and costs associated with the acquisition before making a final decision. This analysis should take into account factors such as the potential for increased revenue, cost savings, and any potential risks or drawbacks associated with the acquisition.
Additionally, Firm A should consider other potential acquisition targets and compare the potential benefits and costs of each option. This will help ensure that the acquisition aligns with the company's strategic goals and will provide a strong return on investment.
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Lee Ray bought 250 shares of a mutual fund with a NAV of $13.85. This fund also has a load charge of 7%.
a. What is the offer price? (Round your intermediate and final answer to the nearest cent.)
b. What did Lee pay for his investment? (Round your intermediate and final answer to the nearest cent.)
Answer: a. $14.9
b. $3725
Explanation:
a. What is the offer price?
This will be calculated as:
= NAV / (1 - load charge %)
= 13.85 / (1 - 7%)
= 13.85 / (1 - 0.07)
= 13.85 / (0.93)
= $14.9
B. What did Lee pay for his investment?
This will be:
= Number of shares bought × Offer price
= 250 × $14.9
= $3725
One of the key obstacles faced by countries in economic transition is the lack of managerial expertise. true false
One of the key obstacles faced by countries in economic transition is indeed the lack of managerial expertise. -- True
During periods of economic transition, countries often undergo significant changes in their economic systems, such as transitioning from centrally planned economies to market-oriented economies or from agrarian to industrial economies. These transitions require a skilled managerial workforce that can effectively navigate and adapt to the new economic conditions.
Lack of managerial expertise can pose challenges in various areas. It can hinder the development and growth of businesses and industries, as well as limit the ability to attract investment and effectively compete in global markets. Without competent managers who possess the necessary skills in areas such as strategic planning, financial management, marketing, human resources, and operations, organizations and industries may struggle to innovate, optimize productivity, and make informed decisions.
Addressing the lack of managerial expertise often requires investment in education and training programs that focus on developing managerial and leadership skills. This can include initiatives such as providing business education, executive training programs, mentoring, and knowledge-sharing platforms. Building a strong managerial talent pool is crucial for countries in economic transition to foster sustainable economic growth, improve organizational performance, and successfully navigate the complexities of a changing economic landscape.
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Which questions would be appropriate to ask when defining a target audience
Answer: 20 Targeting Questions To Understand Your Target Audience
What demographic are you targeting?Where does your target audience live?What industry does your target audience work in?What hobbies does your target audience have?How does your target market think?How does your target audience communicate?What challenges does your target audience experience?Who makes the purchasing decision?What motivates the decision-maker to make a purchase?Were they buying from a competitor in the past?What are your target audience's fears?What do they most care about?Who does the decision-maker go to when they need advice?In what ways does the product or service you sell make your audience's life better or easier?What does your ideal customer enjoy doing in their spare time?What websites do they frequent online?What types of content do they most enjoy online?Where does your ideal customer go when they want to make a purchase?What causes do they support?What stores do they like to shop at?Explanation:
Targeting questions are questions intended to help a business and its marketing team better understand the targeted market. By asking targeting questions and defining your audience, you can customize your marketing messaging to better reach those individuals and increase the likelihood that they will take the desired action. When promoting any product or service, it's important to understand your ideal customer fully. By identifying their key characteristics, motivations, and other differentiators, you can create more tailored messaging and target them more effectively online. Reviewing a list of targeted questions can help you develop a complete profile for your ideal customers and improve your marketing strategies. In this article, we discuss what targeting questions are and provide a list of targeted questions you can use within your own business.
Hope it helped! :)
How does asset utilization ratios impact financial decision making?
Answer:
Answer to the following question is as follows;
Explanation:
The asset utilisation ratio determines how much income a firm earns for every dollar of assets it possesses. An increase in asset utilisation indicates that the firm is getting more value out of each dollar of its assets. This metric is commonly used to compare the effectiveness of a company over tenure.
After the product is developed the detergent company researches what their
competitors are charging for the product. Which of the 4 P's would this best
describe?
Place
Product
Promotion
Price
the answer is price
Explanation:
they are making sure who charges what
Answer:
the answer is price
Explanation:
you are welcome
A company's balance sheet shows: cash $42,000, accounts receivable $48,000, equipment $86,000, and equity $90,000. What is the amount of liabilities? Multiple Choice a) $176,000. b) $86,000. c) $266,000 d) $166,000 e) $89,000.
Based on the data on company's balance sheet, the amount of liabilities is $86,000. Therefore, the correct option is B.
To find the amount of liabilities in the company's balance sheet, we need to use the accounting equation:
Assets = Liabilities + Equity
In this case, the balance sheet shows:
Cash: $42,000
Accounts Receivable: $48,000
Equipment: $86,000
Equity: $90,000
1. First, calculate the total assets:
Total Assets = Cash + Accounts Receivable + Equipment
Total Assets = $42,000 + $48,000 + $86,000
Total Assets = $176,000
2. Next, use the accounting equation to find the liabilities:
Liabilities = Total Assets - Equity
Liabilities = $176,000 - $90,000
Liabilities = $86,000
So, the amount of liabilities is $86,000 which corresponds to option B.
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an economy experiencing high levels of unemployment would most likely be producing at which point?
An economy experiencing high levels of unemployment would most likely be producing below its potential or operating at a point below the full employment level of output.
An economy experiencing high levels of unemployment would most likely be producing below its potential or operating at a point below the full employment level of output. This indicates that there is a gap between the actual level of production and the maximum level that the economy could achieve with all available resources fully utilized. High unemployment signifies that there is a significant amount of labor resources that are not being utilized efficiently. It suggests that there is a lack of demand for goods and services, leading to reduced production levels and job opportunities. To address this situation, measures such as fiscal and monetary policies may be implemented to stimulate demand, encourage investment, and promote job creation in order to move towards full employment and utilize the economy's productive capacity more effectively.
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Rovinsky Corporation, a company that produces and sells a single product, has provided its contribution format income statement for November.
Sales (6,700 units) $ 469,000
Variable expenses 335,000
Contribution margin 134,000
Fixed expenses 103,500
Net operating income $ 30,500If the company sells 6,600 units, its net operating income should be closest to:
Rovinsky Corporation sells a single product and provides the contribution format income statement for November. If the company sells 6,600 units, its net operating income should be closest to $28,560.
Let's verify the claim from the given information. What is a Corporation? A corporation is a business entity that has been established by filing articles of incorporation with the government in the country where it operates. Corporations are owned by shareholders and are legally recognized as distinct entities from their owners. What is a contribution?Contribution is defined as the difference between the selling price per unit and the variable cost per unit. The contribution margin is the amount of profit that is generated by the company. It represents the amount of money that can be used to cover fixed expenses and generate a profit for the company. It is calculated by subtracting variable expenses from sales.What is Net Operating Income?Net operating income is the amount of money that a company has left over after paying all of its operating expenses. It is calculated by subtracting all of the company's expenses from its total revenue. The formula for calculating net operating income inlet operating income = Gross profit - Operating expenses Given data: Sales (6,700 units) = $469,000Variable expenses = $335,000Contribution margin = $134,000Fixed expenses = $103,500Net operating income = $30,500We can use the formula for calculating net operating income to find the answer to this question .NET operating income = Gross profit - Operating expenses The gross profit is the difference between the sales and the variable expenses.
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PLEASE HELP ME
The law of demand states that:
A. demand for a product rises when its supply rises.
B. demand for a product falls when its price falls.
C. demand for a product rises when its price falls.
D. demand for a product rises when its supply falls.
Answer:
C
I hope it helps, sry if it doesn't!
I don't rly know how to explain it tho
Explanation:
select four functions of a healthcare social worker
Answer:
make home visitsexplain medical instructionsfacilities therapy groupsadvocate for patientshow does the health of an economy affect business?
Answer:
This is a very broad question. The health of the economy affects business in many ways. First of all the health of economy is an outcome of business performance.
You need to think of this case as one comes from another and influences it back. Please find the attached diagram.
Explanation:
Self-motivation is a very important quality that employers look for. Being ready to complete assigned tasks without having to be told and working hard are factors in a successful career. Explain why being careful to pick our career path can help us maintain motivation when we enter the work force.
Answer:
if you pick a job you really dont like you're not gonna go to it clock in none of that picking a job you like and comfortable with you'll want to go everyday and give 110 percent
Answer:
Actually enjoying doing a job can give you a lot more motivation than doing one you hate. Be careful to pick a job you'll actually enjoy so you'll have a reason to work hard for it.
what job industry is seeing an increase in women with an all-time high of hires this summer?
The answer is the Construction Industry. According to CNN, Women in the construction industry are 14.1% which was the highest on record.
The Bureau of Labor Statistics reports that the proportion of women working in construction has reached a record high.
Starting around 2016, more women entered the profession, although fewer men were employed in the field.
Rafael Villegas, executive director of the Georgia Hispanic Construction Association, remarked, "We've seen an extraordinary surge of women in the construction profession across the board."
"Back then, you wouldn't see a woman working in the trades, rising to positions of authority, or even leading the company. Women are now well-represented in every industry.
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How does the merit system work?
In a merit system, employees are hired, promoted, rewarded, and retained on the basis of individual ability and fitness for employment without regard to race, color, sex, religion, age, or national origin.
The advantage system determines the health of the candidate through the potential to skip a written competitive examination, given via a fee of examiners. The solutions submitted by using candidates should be unsigned so that you can obviate the possibility of favoritism on the part of the examiners.
As an example, merit system precepts No. nine affords that personnel "have to be included towards reprisal for the lawful disclosure" of waste, fraud, and abuse, even as the listing of prohibited personnel practices also prohibits reprisal for such disclosures.
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Western deli pays its couriers straight time for 36 hours per week and double time for any horus more than 36 worked last week kevin alvarez worked a total of 42 hours and had total pay of 545.28 what is his straight time pay
Answer:
Western Deli
Kevin Alvarez's straight time pay = $408.96
Explanation:
Data and Calculations:
Straight time = 36 hours per week
Overtime hours worked = 6 hours
Total hours worked = 42 hours
Total pay for the week = $545.28
Rate of pay:
Straight time = Hourly rate
Overtime = Hourly rate x 2
Total hours paid = Straight time + 2 of Overtime = 36 + 12 = 48 hours
Hourly rate = $545.28/48 = $11.36
Therefore, Straight time pay = 36 x $11.36 = $408.96
What Scrum event or artefact supports daily inspection and adaptation?
The Scrum event that supports daily inspection and adaptation is the Daily Scrum. The Daily Scrum is a short meeting that is held every day during the Sprint, and it provides the team with an opportunity to synchronize their activities, identify any obstacles or issues that need to be addressed, and plan their work for the day ahead.
During the Daily Scrum, each team member answers three questions: what did they accomplish yesterday, what are they planning to do today, and are there any obstacles or issues that are blocking their progress.
The purpose of the Daily Scrum is to enable the team to inspect their progress towards the Sprint Goal, and to adapt their plan if necessary to ensure that they stay on track. It is an important part of the Scrum framework because it encourages daily communication and collaboration among team members, and it helps to ensure that everyone is aligned and working towards the same goal.
In summary, the Daily Scrum is the Scrum event that supports daily inspection and adaptation. It is an important part of the Scrum framework because it helps the team to stay focused, identify obstacles and issues, and adapt their plan as needed to ensure that they deliver a high-quality product.
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An investor holds a ford bond with a face value of $5000, a coupon rate of 8. 5%, and semiannual payments that matures on january 15, 2029. How much will the investor receive on january 15, 2029?.
The investor would get $5212.5 in return. The bond will expire on January 15, 2029.
Define investor.An investor is a person who invests money in the hope of making money in the future or in order to acquire an advantage (interest). The investor frequently purchases various types of property using this assigned funds. Investments can be made in equities, debt, securities, real estate, infrastructure, money, commodities, tokens, and derivatives like put and call options, futures, and forwards, among other things. Investors in the primary and secondary markets are not distinguished in this concept. In other words, both individuals who contribute money to a corporation and those who purchase shares are considered investors. Shareholders are investors who own stock.
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bought a computer for ra 25000
double column cash book with discount and cash column
Answer:
Explanation:
41,900
June 01 Balance b/d 16,300
Answer:
41,900
June 01 Balance b/d 16,300
Explanation:
Mike owns a skate shop. He is preparing the cash flow statement for his first year of operation. He had a beginning cash balance of $4,800, $103,000 in total cash sales, $3,500 for utilities, $2,600 in loan payments, and $5,500 for marketing cost. What is Mike's ending cash balance?
FORMULA
Ending Cash Balance = Beginning Cash + Cash Inflow – Cash Outflow
To calculate Mike's ending cash balance, we can use the formula:
Ending Cash Balance = Beginning Cash + Cash Inflow – Cash Outflow
Given the information provided:
Beginning Cash = $4,800
Cash Inflow = Total cash sales = $103,000
Cash Outflow = Utilities ($3,500) + Loan payments ($2,600) + Marketing cost ($5,500) = $11,600
Substituting the values into the formula:
Ending Cash Balance = $4,800 + $103,000 - $11,600 = $96,200
Therefore, Mike's ending cash balance at the end of the first year of operation is $96,200.'
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What is the main purpose of conducting an informational interview?
A.
to seek advice and get information about a particular field of interest
B.
to assess your qualifications for the position that you’re seeking
C.
to demonstrate to an employer that you can handle the job position
D.
to build and expand your social network, which can help you land a job later on
E.
to re-evaluate whether or not you should include a cover letter when applying for jobs
Answer:
c
Explanation:
Please help me answer these questions!!
1. Jon yanta’s sale exceeded the amount of his expenses (true or false)
2. Reducing expenses could improve the company’s results (true or false)
3. An increase in total revenue could result in net income (true or false)
4. Rent expense of $5,500 would have resulted in net income (true or false)
5. Supplies expense were not a significant portion of total expenses (true or false)
6. Selling more services would have no effect on the revenues (true or false)
7. An increase in prices could result in higher revenue but could also result in fewer sales (true or false)
Answer: 1st false
2nd true
3rd true
4th true
5th false
6th false
7th true
Cindy Haskins is paid $9.00 an hour. Her overtime rate is 2 times (double time) her regular hourly rate. This week Haskins worked her regular 40 hours plus 8 hours of overtime. What is her total pay?
Her entire compensation is $504.
The term "total pay" means what?Total Pay is the sum of a worker's regular straight-time pay or base salary plus any additional wages received for overtime, shift differentials, incentive pay, bonuses, and other special payments.
The following formula will be used to determine Cindy Haskins' total compensation:
Hourly Payment per hour= $9.00
Hours worked= 40 hours
Payment = 40 X 9 = $360
Overtime payment per hour = $9.00 X 2= $18
Overtime = 8 hours
Payment = 18 X 8= $ 144
Total Payment= $360 + $144= $504
How do you figure up total pay?The number of hours worked multiplied by the hourly wage of an employee is how gross wages for hourly workers are determined. For instance, if a worker does 25 hours per week of part-time employment at a wage of $12, their gross compensation would be $300 (25 x $12 = 300).
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True or false?
2 best friends are one mind in 2 bodies?
Answer:
True
Explanation:
because they are I hope its right
Answer:
well i would say true because friendship is a really strong thing
but then i don't really know
what does the fox say
Answer:nenenesnene
Explanation:
Answer:
"Ring-ding-ding-ding-dingeringeding!
Gering-ding-ding-ding-dingeringeding!
Gering-ding-ding-ding-dingeringeding!"
"Wa-pa-pa-pa-pa-pa-pow!
Wa-pa-pa-pa-pa-pa-pow!
Wa-pa-pa-pa-pa-pa-pow!"
10. Filing taxes helps determine if... (choose ALL that apply) *
(10 Points)
You owe taxes to the government because not enough money was withheld from your check
The government owes you a refund because you paid too much from your paycheck
You paid the correct amount that year from your paycheck
You should be getting more deductions because you aren't getting enough
Answer:
You owe taxes to the government because not enough money was withheld from your check
The government owes you a refund because you paid too much from your paycheck. You paid the correct amount that year from your paycheck
which of the following best describes the reason that credit memo no. 4002 was processed?
The following best describes the reason that Credit memorandum No. 4002 was processed is Customer was billed for the incorrect number of inventory items, option B.
A seller who offers goods or services gives a customer a credit memorandum, which is sometimes shortened to credit memo. The memo is sent out as a way to get the customer to pay less. The most typical kind of credit memorandum is an invoice that has already been paid for the deduction.
A buyer has two options for resolving a discrepancy in their favor if they have paid the invoice in full. Using a credit memo to cover any future payments they might make to the seller is one option. Likewise, the purchaser can rather request a money installment in light of what the merchant owes the purchaser.
The credit memo can only be used as a partial offset against the invoice if the buyer has not yet made any payments to the seller. They will in any case be expected to pay the thing is owed pursuing the decrease determined in the update.
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Complete question:
Which of the following best describes the reason that Credit Memo No. 4002 was processed?
1. Damaged goods were returned.
2. Customer was billed for the incorrect number of inventory items.
3. Customer was charged the wrong price for the inventory items purchased.
4. Customer decided not to keep the goods.