'The distance a fragment of DNA moves into the gel is proportional to the of the fragment in logarithms of the size.
Deoxyribonucleic acid is a polymer composed of two polynucleotide strands twisted together to form a double helix. Polymers carry the genetic instructions for the development, function, growth, and reproduction of all known organisms and many viruses. DNA and ribonucleic acid are nucleic acids.
Intracellular molecules containing genetic information are involved in the development and function of an organism. DNA molecules allow this information to be passed on from generation to generation.
DNA is the information molecule. It stores instructions for making other large molecules called proteins. These instructions are stored in each cell and spread over 46 long structures called chromosomes. These chromosomes are made up of thousands of short DNA segments called genes.
Learn more about DNA https://brainly.com/question/16099437
#SPJ4
The total Revenue and total cost Function that faces firm ACue: TR=30Q TC=100+8Q+0.01Q^2( nute Q^2 is q-squader) What is Fim's A profit? a. $0 b. $33,00 c. $21,000 d. $12,000
The profit is negative, the firm A incurs a loss of $96,900. None of the options provided (a, b, c, d) represents the correct profit amount.
To find the firm's profit, we need to calculate the difference between total revenue (TR) and total cost (TC). The total revenue function is given as TR = 30Q, and the total cost function is TC = 100 + 8Q + 0.01Q^2.
To find the profit, we subtract the total cost from the total revenue:
Profit = TR - TC
Substituting the given functions, we have:
Profit = 30Q - (100 + 8Q + 0.01Q^2)
Simplifying the equation, we have:
Profit = 30Q - 100 - 8Q - 0.01Q^2
Combining like terms, we get:
Profit = -0.01Q^2 + 22Q - 100
To maximize the profit, we need to find the quantity (Q) that corresponds to the maximum value of the profit function. We can do this by finding the vertex of the quadratic function.
The vertex of a quadratic function in the form ax^2 + bx + c can be found using the formula:
Q = -b / (2a)
For our profit function, a = -0.01, b = 22, and c = -100. Plugging these values into the formula, we get:
Q = -22 / (2*(-0.01))
Q = 1100
So, the profit-maximizing quantity is Q = 1100. Now we can calculate the profit at this quantity.
Profit = -0.01(1100)^2 + 22(1100) - 100
Profit = -$121,000 + $24,200 - $100
Profit = -$96,900
Since the profit is negative, the firm A incurs a loss of $96,900. None of the options provided (a, b, c, d) represents the correct profit amount.
learn more about profit here
https://brainly.com/question/32381738
#SPJ11
A firm that simply states "increase sales" as its marketing objective may have trouble formulating a strategy to meet this goal because this objective is too vague and does not meet the marketing characteristic of being _______.
A firm that simply states "increase sales" as its marketing objective may have trouble formulating a strategy to meet this goal because this objective is too vague and does not meet the marketing characteristic of being specific, measurable, achievable, relevant, and time-bound (SMART).
What's SMART objectivesSMART marketing objectives are essential for successful marketing campaigns because they provide a clear and measurable goal that guides the marketing strategy.
SMART objectives help businesses to determine their target audience, develop effective promotional campaigns, and measure the success of their marketing efforts.
Without SMART objectives, a firm may struggle to determine how to increase sales, what products to promote, or what channels to use to reach its target audience.
Therefore, it is crucial for businesses to set SMART objectives that align with their overall marketing strategy and business goals.
Learn more about marketing at
https://brainly.com/question/14917986
#SPJ11
The securities and exchange commission is responsible for ______. multiple choice question. preparing a prospectus regulating various stock exchanges ensuring companies are tax compliant listing stock transactions on the nyse
Answer:
regulating various stock exchanges
Explanation:
Disadvantages of choosing a job that is extremely popular or in demand
The disadvantage of choosing a job that is very popular or a job that is in high demand is that after a while such a job may become saturated or it would become monotonous.
What is a high demand job?This is the term that is used to refer to a job that the people that wpould employ labor are constantly in need of. Such a job is one that would require the people that have the qualification to opt in and get the places and the roles that they are to fill.
The issues that may arise from such a job that is in high demand is that after a period, such a job may have a lot of persons that would want to fulfil the role.
The number of qualified persons may become more than the job that is available for the people to do in the long run.
Hence this is a disadvantage. Therefore I would conclude by saying that the disadvantage of choosing a highly popular job is that the number of persons that are willing to fulfil the role may exceed the job overtime.
Read more on jobs here: https://brainly.com/question/26355886
#SPJ1
leo cuts hardwood timber and mill logs into boards for cabinet making. A majority of leos sales are to a cabineycmaker who appreciates his high quality lumber. the cabinet maker is willing to pay 1.85 per board foot of lumber. leo has an operating cost of 0.72 per board foot he produces. his sawmill is getting old and is starting to affect lumber quality. if he does not replace parts soon, he may lose his sales relationship with the cabinet maker. new parts to upgrade his mill will cost 1,400 dollars. leo is currently producing 500 board per month. leo has the following questions for his business manager.
1. how many board feet does leo need to produce to break even for the upgrades?
2. how many months will it take for leo to raise enough money for the upgrades?
3. can leo keep the sale price at 1.85 and pay for upgrades in two months? if not should leo increase the price in order to break even?
Leo needs to produce at least 1.9 board feet per sale in order to break even for the upgrades, it will take Leo 3 months to raise enough money for the upgrades and he needs to increase the sale price to at least $1.67 per board foot in order to break even.
How many board feet does leo need to produce to break even for the upgrade1. To break even for the upgrades, Leo needs to calculate his total cost for producing the lumber, which includes both his operating cost and the cost of the upgrades. Then he can divide that total cost by the sale price per board foot to find how many board feet he needs to produce to break even.
Total cost per board foot = operating cost per board foot + (cost of upgrades / total board feet produced)
Total cost per board foot = $0.72 + ($1,400 / 500)
Total cost per board foot = $3.52
Number of board feet needed to break even = Total cost per board foot / Sale price per board foot
Number of board feet needed to break even = $3.92 / $1.85
Number of board feet needed to break even = 1.9 board feet
Therefore, Leo needs to produce at least 1.9 board feet per sale in order to break even for the upgrades.
2. Leo needs to calculate how much profit he makes per month and divide the cost of the upgrades by that profit to find how many months it will take to raise enough money.
Profit per month = (Sale price per board foot - Total cost per board foot) x Board feet produced per month
Profit per month = ($1.85 - $0.72) x 500
Profit per month = $565
Number of months to raise enough money = Cost of upgrades / Profit per month
Number of months to raise enough money = $1,400 / $565
Number of months to raise enough money = 2.48 months (rounded up to 3 months)
Therefore, it will take Leo 3 months to raise enough money for the upgrades.
3. Leo needs to calculate his profit per board foot after accounting for the cost of the upgrades. If his profit per board foot is still positive, he can keep the sale price at $1.85. If his profit per board foot is negative, he needs to increase the sale price to at least break even.
Total cost per board foot (including upgrades) = $0.72 + ($1,400 / 500)
Total cost per board foot (including upgrades) = $3.52
Profit per board foot = Sale price per board foot - Total cost per board foot (including upgrades)
Profit per board foot = $1.85 - $3.52
Profit per board foot = -$1.67
Leo's profit per board foot is negative, which means he is losing money at the current sale price. Therefore, he needs to increase the sale price to at least $1.67 per board foot in order to break even.
Learn more on breakeven here;
https://brainly.com/question/15281855
#SPJ1
Which factor of production would you consider a cow?
Answer:
Milk
Explanation:
Give brainliest please
What type of special title insurance policy is used when a property is being purchased through a land sales contract, purchase money mortgage, or purchase money trust deed
Answer:
A vendee policy.
Explanation:
A vendee policy is a type of special title insurance policy that is used when a property is being purchased through a land sales contract, purchase money mortgage, or purchase money trust deed.
This ultimately implies that, a vendee policy is an equitable buyer's lien issued to the purchaser of a real estate property in order to protect them in terms of repayment of the money being made as payment. It serves as a form of security for the buyer of a real estate property and as such it is enforceable by a court of competent jurisdiction.
Choose a company you frequently buy from.
For example: Nike, McDonald's, Wawa
Now, identify that company's target market and marketing mix.
From the perspective of the ____, the price at which a unit is exchange is the marginal cost of that unit
Answer:
From the perspective of the SELLER, the price at which a unit is exchange is the marginal cost of that unit
What might be an advantage of using credit
Each of the following is a supply shifter EXCEPT: A. Number of sellers in a given market B. Cost of production of a specific good C. Change in consumer price expectations D. Change in producer price expectations Please select the best answer from the choices provided A B C D.
The correct answer is C. Change in consumer price expectations.
Each of the following is a supply shifter EXCEPT a change in consumer price expectations. A shift in supply occurs when the conditions of production for a good or service change. There are six major supply shifters, including:
Changes in resource prices: A decrease in the cost of the necessary components of a good or service would lead to a shift in supply to the right. On the other hand, if the cost of resources increases, the supply curve will shift to the left.Technology: Advances in technology that make production more efficient and less expensive, as well as those that open up new market opportunities, will cause the supply curve to shift to the right.Government policy: The imposition of taxes, subsides or regulations by the government can shift the supply curve for goods and services.Nature and disasters: Natural disasters such as hurricanes, earthquakes, floods, or pandemics can reduce the availability of resources, shift the supply curve to the left, and raise prices.Future expectations: Anticipated changes in the price of a good or service in the future can lead to shifts in the supply curve. When businesses anticipate that the price of a product will rise in the future, they are more likely to stockpile goods and sell them later.Producer price expectations: If a producer expects prices to rise in the future, they will want to supply fewer goods today so they can sell them at a higher price tomorrow. This will shift the supply curve to the left.To know more about consumer visit:
https://brainly.com/question/27773546
#SPJ11
true/false. personal values take priority over the corporate values where they work. personal values are subservient to the corporate values where they work. personal values align with the corporate values where they work. lives are ruled entirely by their personal values. lives are ruled entirely by the corporate values where they work.
The most successful people are those whose personal values align with the corporate values where they work.so option c is correct.
what are the company's values?Company values, also known as corporate values or core values, are a set of tenets and fundamental ideas that enable a group of individuals to work as a unit and achieve a common objective. These ideals are frequently linked to cooperative working environments, positive customer experiences, and business expansion. Accountability means that we are all accountable for the things we say, do, and achieve. We treat people with respect and professionalism, and we cherish each individual. Integrity: Through moral behaviour and sincere connections, we increase trust. Collaboration and teamwork allow us to accomplish more.
To know more about company's values visit:
https://brainly.com/question/30204786
#SPJ4
The Federal Reserve uses monetary policy and Congress uses fiscal policy to try to prevent ""wild swings"" in the economy and to alleviate some economic problems. What are the three goals both entities are trying to support? How do these three goals affect you?
The three goals are maintaining stable prices, Promoting Economic Growth, and Promoting Financial Stability.
1. Maintaining Stable Prices: The Federal Reserve and Congress both use monetary and fiscal policy to try to keep the inflation rate low and prices stable. This means that the prices of goods and services don't fluctuate too much, which helps protect people from getting too much debt due to rising costs. This affects you by protecting your purchasing power so that your money can purchase the same amount of goods over time.
2. Promoting Economic Growth: The Federal Reserve and Congress both use monetary and fiscal policy to try to stimulate economic growth. This means that they use approaches to try to increase employment, wages, and overall economic activity. This affects you by providing more job opportunities, higher wages, and a more robust economy overall.
3. Promoting Financial Stability: The Federal Reserve and Congress both use monetary and fiscal policy to promote financial stability. This means that they use policies to try to reduce the risk of a financial crisis, such as a banking crisis, and to ensure that financial markets are functioning properly. This affects you by providing a more secure financial system and protecting your investments.
To know more about Federal Reserve:
brainly.com/question/30105387
#SPJ4
Random variations represent either increasing or decreasing movements over many years due to factors such as population growth, population shifts, cultural changes and income shifts.
Answer:
FALSE
Explanation:
THIS IS THE COMPLETE QUESTION
Trends representing either increasing or decreasing movements over many years due to factors such as population growth, population shifts, cultural changes, and income shifts are a component of a time series called "Random Variations"
Random Variation can be regarded as
tendency of an estimated size/ value of a parameter to undergo deviation randomly away from the real/ true magnitude/ value of the parameter.
Jace ordered a banner in the shape of a parallelogram from a print shop. A parallelogram is shown. The length of the sides are 9 feet, and the length of the top and bottom sides are 12 feet. A diagonal is drawn from one point to the opposite side. The length of the diagonal is 19 feet. Heron’s formula: Area = StartRoot s (s minus a) (s minus b) (s minus c) EndRoot The print shop charges $1. 10 per square foot for banners of any shape and size. What is the approximate cost of the banner before tax? $41. 95 $46. 14 $83. 90 $92. 30.
The approximate cost of the banner before tax is $46.14 (option B).
Jace ordered a banner in the shape of a parallelogram from a print shop. The length of the sides are 9 feet, and the length of the top and bottom sides are 12 feet. A diagonal is drawn from one point to the opposite side. The length of the diagonal is 19 feet.
The formula that gives the area of the parallelogram is A = bh, where b is the length of one of the sides and h is the height of the parallelogram.
To calculate the height of the parallelogram, we need to use the Pythagorean theorem.
Let a be the length of the diagonal and c and d the two equal sides of the parallelogram.
Then, by the Pythagorean theorem,
c² = a² - d²
c² = 19² - 9²
c² = 361 - 81
c² = 280
c = √280
= 2√70 feet
Therefore, the height of the parallelogram is h = 2√70.
The area of the parallelogram is A = bh
= 12(2√70)
= 24√70 sq.ft.
Using Heron's formula, the semi-perimeter is s = (9 + 9 + 12)/2 = 15.
The area of the triangle is Area = √(s(s - a)(s - b)(s - c))
Area = √(15(15 - 9)(15 - 9)(15 - 12))
= √972
≈ 31.128 sq.ft.
The total cost of the banner is approximately $1.10 × 24√70 + $1.10 × 31.128
= $46.14.
Therefore, the approximate cost of the banner before tax is $46.14 (option B).
To know more about cost visit:
https://brainly.com/question/14566816
#SPJ11
Which demographic groups does Women in Motion serve?(keep it clear and short)
The demographic group Women in Motion serve is Women who are all talented and Young giving in their best contribution to Cinema.
What is demographic?
Demographic is referred to defining a set of populations based on the characteristics like age, gender, social status, education, qualification, and so on.
"Women in Motion" has referred to a kind of award which was given to effective young female personalities who are raising the position of women in society and providing a contribution to their growth.
The event has emerged as a go-to platform for starting discussions and influencing perceptions around the representation of women in the arts and entertainment industries.
Learn more about demographics, here:
https://brainly.com/question/5216121
#SPJ1
3. View the sample report by clicking the "Sample Student Report" link and answer the
following questions. (4 points)
I
a. What is the composite ACT score range?
b. What is the composite score on the report shown?
The range of the Sample Student Report is gotten by subtracting the minimum ACT score from the maximum ACT score.
What is a sample range?The range of a group of numbers is the difference between the highest and lowest values in a set of numbers. It is given by:
Range = highest number - lowest number
The range of the Sample Student Report is gotten by subtracting the minimum ACT score from the maximum ACT score.
Find out more on range at: https://brainly.com/question/1942755
As a smart consumer, you are always on the lookout for sales, coupons, and rebates. While shopping for new clothes, you notice that one particular brand of shirts is on sale for 20% off the original price. You also have a coupon for $10 off a $40 purchase. Coupons are applied after the 20% discount is taken. If each shirt originally costs $17.99, how many shirts would you need to buy to be able to use your coupon? Show your work
Answer:
3 shirts
Explanation:
The cost of one shirt is before discounts is $17.99
After a 20% discounts, the shirt will retail at
= $17.99 - (20% of $17.99)
=$17.99 -$3.598
=$14.392
The coupon applies purchases worth $40. A customer will need by
=$40/$14.392
=2.7793
The customer has to buy 3 shirts
In a certain jurisdiction caroline, who is earning $42,200, currently pays a flat percentage of 25% income tax. The tax authorities suggest a change to a progressive income tac system as follows: 1. Charging 15% on a person's income up to $20,000. 2. Changing 30% on any income above that. How much less will caroline be paying in income tax under the proposed changes? round your answer to the nearest dollar.
The amount of tax paid less by Caroline as per the new taxation policies will be $950 over her annual salary of $42,200 after the taxes are applied assuming deductions being made.
The calculation of tax saved by Caroline will be done on the basis of comparing the taxation rates of both the policies after taking the changes into account.
Calculation of tax savingsThe formula for calculation of tax will be done as follows when the taxes are charged on flat basis under the old policy,
\(\rm Income\ Tax= Salary\ x\ Rate\ of\ Taxation\\\\\rm Income\ Tax= 42200\ x\ {\dfrac{25}{100}\\\\\\\\\\\\\\rm Income\ Tax= \$10550\)
The taxation for the first $20000 as per the new policy will be
\(\rm Income\ Tax\ Threshold= 20000\ x\ \dfrac{15}{100}\\\\\rm Income\ Tax= \$3000\)
Calculating further taxation,
\(\rm Income\ Tax= 22200\ x\ \dfrac{30}{100}\\\\\rm Income\ Tax= \$6600\)
So, total taxation as per the new policy will be $9600. Now comparing the taxation of old scheme with new scheme, we get,
\(\rm Income\ Tax\ Savings= Old\ Taxation - New\ Taxation\\\\\rm Income\ Tax\ Savings=10550-9600\\\\\rm Income\ Tax\ Savings=950\)
So, the total taxes saved are $950 when the taxation rate changes.
Hence, the correct statement is that tax savings of $950 is possible when the authorities change the taxation rates to such slab rates by Caroline.
Learn more about tax savings here:
https://brainly.com/question/2396701
On a busy Saturday night, the manager comes through about every 2 hours and removes all of the bills $20 and larger. This is known as
On a busy Saturday night, the manager's practice of coming through every 2 hours and removing all of the bills $20 and larger is known as "cashing out" or "dropping the deposit".
Cashing out refers to the process of converting one's assets or investments into cash. This term is commonly used in the context of financial transactions, such as selling stocks, withdrawing funds from a bank account, or redeeming rewards points for cash. This can be done by selling stock options, property, or other assets.
In the context of online services, cashing out typically refers to redeeming earned rewards or earnings in exchange for cash. For example, users may earn virtual currency or points through completing surveys or participating in online activities, which can then be cashed out for real money through various payment methods. Cashing out can also refer to the practice of selling off a business or investment to realize profits or recoup losses.
To learn more about Cash out visit here:
brainly.com/question/11752733
#SPJ4
the following information for five products (a-e) was taken from the inventory records of the walker company who use the fifo method: product a b c d e
# of Units 175 200 250 200 300 Unit cost $5.50 $10.00 $5.10 $5.10 $5.00 Replacement cost per unit $6.00 $9.00 $4.60 $4,50 $4.50 Net realizable value (NRV) per unit $5.20 $12.50 $7.00 $7.00 $7.00 NRV-Normal profit per unit $4.80 $10.30 $5.25 $4.00 $4.80 Required: Determine the valuation of the inventory at the lower of cost or market applied to: a. Individual items b. The inventory as a whole
a.The valuation of the Individual items are $1,050/$2,000/$1,150/$900/$1,350.
b.The valutions of inventory as a whole is $6,365.
a. Individual Items:
1.For Product A, since the replacement cost per unit ($6.00) is greater than the original cost per unit ($5.50), we use the replacement cost per unit to value the inventory. Therefore, the valuation for Product A is 175 x $6.00 = $1,050.
2.For Product B, the original cost per unit ($10.00) is greater than both the replacement cost per unit ($9.00) and the net realizable value per unit ($12.50 - $10.30 = $2.20), so we use the original cost per unit to value the inventory. Therefore, the valuation for Product B is 200 x $10.00 = $2,000.
3.For Product C, the replacement cost per unit ($4.60) is less than both the original cost per unit ($5.10) and the net realizable value per unit ($7.00 - $5.25 = $1.75), so we use the replacement cost per unit to value the inventory. Therefore, the valuation for Product C is 250 x $4.60 = $1,150.
4.For Product D, the replacement cost per unit ($4.50) is less than the original cost per unit ($5.10) but greater than the net realizable value per unit ($7.00 - $4.00 = $3.00), so we use the replacement cost per unit to value the inventory. Therefore, the valuation for Product D is 200 x $4.50 = $900.
5.For Product E, the replacement cost per unit ($4.50) is less than both the original cost per unit ($5.00) and the net realizable value per unit ($7.00 - $4.80 = $2.20), so we use the replacement cost per unit to value the inventory. Therefore, the valuation for Product E is 300 x $4.50 = $1,350.
b. The Inventory as a Whole:
1.To determine the inventory valuation as a whole, we need to compare the total cost of the inventory to the total market value (replacement cost) of the inventory.
The total cost of the inventory is: (175 x $5.50) + (200 x $10.00) + (250 x $5.10) + (200 x $5.10) + (300 x $5.00) = $6,750.
2.The total market value (replacement cost) of the inventory is: (175 x $6.00) + (200 x $9.00) + (250 x $4.60) + (200 x $4.50) + (300 x $4.50) = $6,365.
Since the total market value is lower than the total cost, we need to adjust the inventory valuation to the lower market value of $6,365. Therefore, the valuation of the inventory as a whole is $6,365.
Click the below link, to learn more about inventory records:
https://brainly.com/question/29642144
#SPJ11
help needed soon
How are the costs of secured and unsecured loans different?
Question options:
A secured loan typically has lower interest rates costing less; an unsecured loan typically has higher interest rates costing more.
A secured loan is typically associated with a lower fee schedule and so costs less; unsecured loans typically have a higher fee schedule and so they cost more.
Secured loans generally have longer repayment terms and cost more; unsecured loans generally have shorter repayment terms and cost less.
Secured loans usually carry a higher interest rates and cost more; unsecured loans usually have lower interest rates and cost less.
Secured and unsecured loans differ in cost because A secured loan typically has lower interest rates costing less; an unsecured loan typically has higher interest rates costing more.
How are secured and unsecured loans different?A secured loan is one that is backed by the assets of the person being loaned the money. If the person is unable to pay, the asset is seized.
Unsecured loans are not backed by any assets which means that the lender will have nothing to claim in default. This makes these type of loans risky which is why they command more interest.
Find out more on unsecured loans at https://brainly.com/question/17077155.
#SPJ1
What area of expenses is best to target when looking for possible ways to cut back on spending?
A-Actual
B-Fixed
C-Flexible
D-All of the above
Answer:Flexible
Explanation:
Write any five methods of getting information of foreign employment and discuss any one of them.
Answer:
May it will help you
Explanation:
1) Notice board
2) Book of introduction
3) Institutions work working under the ministry of labour
4) Authority of human resources
5) Manifestos of training institutions
6)Web site
7) Newspapers
8) Public meeting :the manpower company, training institutions and institutions of public counseling are working in the field of foreign employment in nepal.
They come to the direct or indirect contact of people through various programmes of interaction, seminar, and meeting.
9)Radio and television
Foreign employment getting information through Notice board, Book of introduction, Authority of human resources, Web site, and Newspapers.
Who is Foreign employment?
Public meeting: When the manpower company, training institutions, and institutions of public counseling are working in the field of foreign employment in Nepal.
Although, They come to direct or indirect contact with people through various programs of interaction, seminars, and meetings.
Also, Foreign employment getting information through Institutions work working under the ministry of labor, Manifestos of training institutions, Radio, and television
Find more information about Foreign employment here:
https://brainly.com/question/10512840
An investor wants to find the duration of a(n) 20-year, 9% semiannual pay, noncallable bond that's currently priced in the market at $914.20, to yield 10% Using a 200-basis point change in yield, find the effective duration of this bond (Hint: use Equation 11.11)
The duration of the bond can be found to be 15.16 years and the effective duration can be found to be 28.98 years.
Given:Nominal rate = 9%
Frequency = Semi-annual Maturity = 20 years
Price = $914.20
Yield = 10%
Basis point change = 200
We are required to find the effective duration of the bond.Using equation 11.11 of the textbook, we have the formula for effective duration as:
Effective Duration = -1/P * ΔP/Δy
where,Δy = change in yield in decimals
P = price of the bond- ΔP = Change in price due to the change in yield.
Δy = 200 basis points = 0.02
Price of the bond = $914.20
To calculate the change in the price of the bond due to the change in yield, we use the formula,
ΔP = -D * P * Δy
where,D = Modified duration
= Macaulay duration / (1+y/n)y
= yield = 10%/2
= 0.05
n = number of payments
= 2*20
= 40 years
Duration = n [ (1 + y/n)²C1 + (1 + y/n)³C2 + ...+ (1 + y/n)^n*Cn] / (2y/n)
= 15.16 years.
Modified duration = 15.16 / (1+0.05)
= 14.44 years.
ΔP = -D * P * Δy
= -14.44 * 914.20 * 0.02
= -$264.83
Effective Duration = -1/P * ΔP/Δy
= -1/914.20 * (-264.83)/0.02
= 28.98 years
Therefore, the effective duration of the bond is 28.98 years.
learn more about year from given link
https://brainly.com/question/27894163
#SPJ11
Assume all markets are in long-run equilibrium. The market quantity supplied in a duopoly would be ________ the market quantity supplied in a monopoly and ________ the market quantity supplied in a competitive market. a. less than or equal to; less than or equal to b. less than or equal to; greater than or equal to c. less than; equal to d. greater than; equal to e. greater than or equal to; less than or equal to
Answer:
greater than or equal and less than or equal
Explanation:
We assume that all the market belong from long run equilibrium.So the quantity supplied of the market in a duopoly should be either greater or equivalent to the quantity supplied of the market in the monopoly and it should be less or equivalent to the quantity supplied of the market in the competitive market as it is the under competitive market where P = mc
And, under monopoly, there is the condition of the profit maximiation i.e. MR = MC
A _______ calculation helps managers assess a firm's ability to meet payments to short-term creditors without impacting inventory levels.
A quick ratio calculation helps managers assess a firm's ability to meet payments to short-term creditors without impacting inventory levels.
A business manager is defined in the Oxford English Dictionary as "a person who manages the affairs of an individual, institution, organization or company". Operations managers motivate employees to work hard to keep the business running smoothly and profitably.
They must be competent in the following areas, of which he may be an expert in one or more. Finance, Marketing, Public Relations. Business leaders may also be familiar with the following technical areas: Law, science, computer programming. Company managers can even manage human resources in some situations.
To know more about Managers here-
https://brainly.com/question/29023210
#SPJ4
Which of the following leadership theories offers answers about whether there is an optimism way for leaders to adjust their behaviors with different followers in which factors should the leader base his behavior on?
Answer:
path-goal theory
Explanation:
The path-goal theory is one that gives the leader the possibility to adapt his behavior according to individual and collective needs in the work environment. This theory aims to ensure that the leader recognizes the needs of each employee and indicates the path necessary to achieve the objectives and goals of the organization.
This model aims to achieve greater motivation and productivity with a leadership model based on the fulfillment of the employee's individual expectations in relation to their work.
Which is an example of an income deduction? an unexpected salary cut wages lost due to illness vacation budget retirement savings
Retirement savings are among the examples of income deduction and Option D is correct.
What is Income deduction?Income deduction can be defined as the amount that is being deducted transparently from the actual income before the income comes in hand and is allocated in other reserves that are utilized for various benefits.
Retirement savings, income tax, medicare, and many more are some of the examples of Income deduction.
Retirement savings are funds deducted transparently and consistently from the income for a long period of time and is returned to the employee during the time of retirement.
Therefore, Retirement savings are among the examples of income deduction and Option D is correct.
Learn more about Income deduction here:
brainly.com/question/25707827
Answer:
the answer is D
trust me
Rashid wants to try his luck at high-risk investments for good returns. However, he is worried that he may wind up losing money in the process. Which investment would be a best bet for Rashid?
A. mutual funds
B. stocks
C. money market account
D. certificates of deposit
E. saving account
Answer:
Explanation:
a. mutual funds for high risk n good returns
Answer:
Explanation:
The best bet as compromise between high-risk and good returns will be an investment in A. mutual funds.