Help what’s the answer?
Economic resources that are owned or controlled by a company"" – which one of the terms below matches the definition/description just given?
Economic resources that are owned or controlled by a company is asset. Economic resources are elements that are utilized to create goods or services for use or consumption. The Economic resources are sometimes referred to as production inputs. Money is just one form of the economic resource; there are others as well.
Some the economists use production components of land, capital, and entrepreneurship define economic resources. The six elements are also included in concept in other economic theories they are land, capital, information, corporate reputation, and ownership risk. Although all company need economic resources, how they employ those resources varies.
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You own a $1000 face value Lee Mann Brothers fond with an 8% coupon, The bond matures in 20 years and it is callable in 7 years at a redemption price of $1020. The current price of the bond is $980. What is the yield call on the bond?
Given that, Face value (FV) = $1000Coupon rate (r) = 8%Maturity time (n) = 20 years Call time = 7 years Redemption price (CP) = $1020Bond price = $980We need to calculate the yield call on the bond.
Yield to call (YTC) = {[CP - P] / [(FV - CP) / (n - t)]} + [(C / (FV + CP)) / 2]Where, P = Bond price C = Annual coupon payment t = Holding period yield of the bond till call time Substituting the given values,
We get; P = $980C = FV × r = $1000 × 8% = $80n = 20 years CP = $1020t = {[($1020 - $980) / (($1000 - $1020) / (20 - 7))] + [(80 / (1000 + 1020)) / 2]} × 100% = 32%Therefore, the yield call on the bond is 9.32%.
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Under what condition do you think extravert make more effective leader than introvert? What unique abilitie of introvert could make them more effective in ome ituation?
When it comes to interacting with peers and big groups of people, extroverts can be more effective leaders. Extraversion frequently manifests as talkativeness, friendliness, and excitement. These traits facilitate effective group interaction, communication, problem-solving, and critical thinking.
Introverts can become more effective in a one on one situation because listening is among the unique skills that tend to come naturally for introverts. They listen to what is explicitly stated and often pick up on implications, thoughts, and feelings that are not said.
Introverts allow others to speak while yet speaking up when necessary. Others instantly feel at home with them since they always endeavor to make others around them happy. Due to their delicate nature, they may also be patient with others, even when they are stepping on their toes.
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Which country is not an example of a command economy?
Haiti
China
Vietnam
Cuba
Answer:
Haiti
Explanation:
A command economy is one where the government controls economic productions. The government owns the factors of production. It is the government that determines what, when, and how much to produce. The government regulates prices, and there is no competition.
Some of the countries that have command economies include Belarus, North Korea, Cuba, Iran, Libya, China, and, Russia
Haiti has a free market economy. It is a developing economy that has many elements of a traditional economy.
Eric, Teri, and Jana formed a partnership. Their cash contributions were $60,000 by Eric, $36,000 by Teri, and $24,000 by Jana. Jana will be responsible for 80% of day-to-day operations. Teri has unlimited liability, and each of the other partners is liable for 25% of the partnership debt. If the partnership agreement does not state how profits are to be shared, the Revised Uniform Partnership Act (RUPA) provides for which arrangement
Answer:
TRIGGU
TRIGGU
TRIGGU
TRIGGU
The Revised Uniform Partnership Act (RUPA) provides for the arrangement when all three = 33 1/3%.
What is profit sharing?Profit sharing is known to be a term that connote the incentive plans that was introduced by businesses that gives direct or indirect payments to employees based on firm's profitability and others.
Note that based on the scenario given above, the Revised Uniform Partnership Act (RUPA) provides for the arrangement when all three will share 33 1/3% profits.
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How do long term goals differ from short-term goals principles of financial planning?
Setting short-term financial objectives include doing everything you can to enhance your financial situation in the interim.
What exactly is short-term lending?Business finance from short-term, typically less than a year, sources is referred to as short-term financing. The same assists the organization in generating cash for expenditures, which are often less in scale.
What is short-term Investment ?Toutes droits réservés. referring to anything lasting a year or less, including investments, financial plans, and other things. Financial plans and investments for the short term typically include less uncertainty than those for the long term.
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Chloe enjoys her math classes, and she would like to find a career that will allow her to continue to use her math skills. Which career would be a good fit for her? O A. accountant O B. purchasing agent O C. commercial carpenter OD. human resources manager Reset Next
Answer:
A. accountant
Explanation:
The accountant has a very significant role in running a business. He or she keeps a precise record of money flow in the company. The accountant function is mainly mathematical as it involves the accurate collection, recording, analysis, and financial presentation of the organization’s business operations.
Business or financial transaction records have a lot of numerical. Prices, sales volumes, discounts, repayments period are all presented in numbers. An accountant will always be calculating. If Chloe enjoys math, she will like working as an accountant as the role depends on math.
The answer is: A. accountant
The main duty of an accountant is to prepares the financial information of an individual or an organisation. In order to do this, you need a really good command of math skills since all the information regarding the assets , liability, and capital of the individuals/organization is recorded in a numerical value.
What is the relationship between kaizen and the deliberate practice?.
The relationship between Kaizen and the deliberate practice lies on the fact that;
Deliberate practice is frustrating, uncomfortable, and most importantly painful, although it separates those who achieve from those who don’t. Messages from Deliberate PracticeTalent is definitely not enough. Hence, Practice as characterized by hard work is the difference between good and great. Expert performance is characterized by hard work and requires repeated actions. Focus is important, In essence, break the work into manageable parts. Setting goals and perseverance is very important Generating Feedback in the moment.Read more on deliberate practices;
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Organizations often start a new marketing research study by first examining secondary data primarily because
Answer:
using this information can result in time and cost savings
Explanation:
Organizations often start a new marketing research study by first examining secondary data primarily because after study the data by research team can help in making better understanding of the market.
What is marketing?
Marketing is the process of creating, promoting, and delivering goods and services to customers with the goal of satisfying their needs and wants.
It involves identifying target customers, researching their preferences and behavior, developing products and services that meet their needs, and promoting those products and services to persuade customers to buy them.
The marketing research study in an organization first examine the secondary data because they want to first understand the demand in the market and then do marketing accordingly.
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Your parents are giving you $215 a month for 4 years while you are in college. At an interest rate of .35 percent per month, what are these payments worth to you when you first start college
The payments that parents are giving of $215 a month for 4 years while you are in college are worth a significant amount when you first start college. It will have a worth of $10,356 at an interest rate of 0.35% on monthly basis.
To calculate the worth of these payments, we need to take into account the interest rate of .35 percent per month.
First, we need to determine the total number of months that you will receive these payments. 4 years is equivalent to 48 months, so you will receive a total of 48 payments of $215.
Next, we need to calculate the interest that will accrue on these payments. At an interest rate of .35 percent per month, the interest for each payment will be .35 percent of $215, which is $0.75. Therefore, the total interest earned on all 48 payments will be $0.75 x 48 = $36.
Finally, to determine the total worth of these payments when you first start college, we need to add the total payments ($215 x 48 = $10,320) and the total interest earned ($36) together. Therefore, the total worth of these payments to you when you first start college will be $10,356.
In summary, your parents' payments of $215 a month for 4 years while you are in college will be worth $10,356 to you when you first start college, taking into account the interest rate of .35 percent per month.
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hart's adjusted basis of his interest in a partnership was $30,000. he received a nonliquidating distribution of $24,000 cash plus a parcel of land with a fair market value and partnership basis of $9,000. hart's basis for the land is
A partnership is a contract between two or more people where they decide to carry out a particular business or trade as an organisation. Each partner in a partnership provides money, assets, time, or talent. Here, everyone assembles to discuss business gains and losses.
Partnerships cover entities that are not legally recognised as corporations, groups of people, associations, or joint ventures. The association of individuals who engage in any type of commercial or financial activity. The aforesaid association does not qualify as a registered company or registered trust. Any withdrawals made by partners during the year or asset distributions by the partnership have no impact on the calculation of the partnership's income. Any payment received by the partner will result in a reduction of the partner's outside basis in the entity.
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Imagine you got into an auto accident which was your fault and you have 15/30/5 insurance. You did $5,000 damage to the other car, and broke a computer in the other car's trunk worth
$2,000.
There were 3 people in the other car and their medical bills were $12,000
each. The father in the other car also was out of work for a month costing the family $6,000.
In total, you are sued for $49,000.
How much money will the insurance company pay toward the amount you were sued for in this accident?
Answer:
The insurance company will pay up to a maximum of $25,000 for this accident. This is determined by the limits of the insurance policy, which is 15/30/5. This means that the insurance company will pay up to $15,000 for bodily injury per person ($15,000 x 3 people = $45,000) and up to $30,000 for bodily injury per accident ($30,000). They will also pay up to $5,000 for property damage ($5,000). Therefore, the total amount the insurance company will pay is $15,000 + $30,000 + $5,000 = $50,000. Since the total amount sued for is $49,000, the insurance company will pay the full amount of $49,000.
Explanation:
The insurance provider will cover this accident for a maximum of $25,000. The insurance policy's 15/30/5 limits serve as the basis for this decision. This indicates that the insurance provider will cover bodily injury claims up to the amount of $15,000 per person
What is the insurance?Insurance is a tool for risk management. You purchase protection against unforeseen financial losses when you purchase insurance. If something unpleasant happens to you, the insurance company pays you or someone else of your choosing. If an accident occurs and you don't have insurance, you can be liable for all associated expenses.
($15,000 x 3 people = $45,000) and $30,000 per accident ($30,000). Additionally, they will cover property damage up to $5,000 ($5,000). As a result, the insurance provider will cover a total of $50,000 ($15,000 + $30,000 + $5,000). The insurance provider will cover the full $49,000 since the total amount claimed in the lawsuit is $49,000.
Therefore, The insurance company will pay up to $25,000 toward this accident's expenses.
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Richard owns Scholars Apartment House. His ownership rights include the right to sell or give away the property without restriction, as well as to use the property for whatever purpose he sees fit. His ownership interest is
Based on his degree of ownership rights, then, his ownership interest is a fee simple absolute
Fee simple absolute means an absolute ownership of land whereby the owner may do whatever he chooses to do with the land.
Because of his ownership rights that include the right to sell or give away without restriction and to use the property for whatever purpose he sees fit, then, his ownership interest is a fee simple absolute
Therefore, the Option A is correct.
Missing Options includes "a. a fee simple absolute. b. an easement. c. the right to adverse possession. d. the power of eminent domain."
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How can ratio analysis be used to interpret financial statements?
In order to get insights into profitability, liquidity, operational effectiveness, and solvency, ratio analysis examines line-item information from a company's financial statements.
Ratio analysis allows you to compare one firm to another in the same sector or sector and track how one company has changed over time.
What is ratio analysis?Ratio analysis is a quantitative examination of the information included in the financial statements of an organization. Ratio analysis is the study or analysis of the line items included in the company's financial statements.
It can be used to evaluate a number of aspects of a business, including profitability, solvency, liquidity, and operational effectiveness.
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If a bond is trading at a premium, what is the relationship between the bond's coupon rate, current yield and yield to maturity?
Bonds acquired at premiums often have lower yields to maturity than bonds purchased at market rates. This is further explained below.
What is a bond?Generally, Bonds are financial securities that reflect loans made to the issuer by the bondholders themselves. When it comes to borrowing money, governments (at all levels) and companies (of all sizes) often turn to bonds.
In conclusion, If you buy a bond at a discount, the yield to maturity will be lower than its coupon rate.
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2 1 points The halo effect in observation is cause by an observer spending long hours without a break. True or False True False
The statement "The halo effect in observation is caused by an observer spending long hours without a break" is false ( the halo effect is a cognitive bias that occurs when an observer's overall impression of a person, product, or company influences their evaluation of specific traits or characteristics).
It is not related to the amount of time an observer spends observing a particular subject.The halo effect is commonly seen in the workplace, where a positive overall impression of an employee can lead to positive evaluations of their work, even if specific aspects of their work are subpar.
Similarly, a negative overall impression can lead to negative evaluations, even if certain aspects of their work are objectively good.
Factors that can contribute to the halo effect include physical attractiveness, charisma, expertise, and perceived success. It can be difficult to avoid the halo effect, but being aware of it and consciously evaluating specific traits independently can help to mitigate its impact.
In summary, the halo effect is not caused by spending long hours without a break, but rather by an observer's overall impression influencing their evaluation of specific traits.
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QUESTION 8 of 10: What is a focus group?
what's a focus group, well it's a group that focus
Bonds with a face value of $250,000 and a quoted price of 101 have a selling price of:______
To determine the selling price of bonds with a face value of $250,000 and a quoted price of 101, we need to understand how the quoted price relates to the actual selling price.
In bond trading, the quoted price typically represents a percentage of the bond's face value. A quoted price of 101 indicates that the bond is priced at 101% of its face value. In other words, the bond is being traded at a premium.
To calculate the selling price, we multiply the quoted price by the face value and adjust for any premium or discount. In this case, since the quoted price is greater than 100, we have a premium.
Selling price = Quoted price * Face value * (1 + Premium/100)
Let's calculate the selling price using the given information:
Quoted price = 101
Face value = $250,000
Premium = 101 - 100 = 1
Selling price = 101 * $250,000 * (1 + 1/100)
Selling price = $101 * $250,000 * 1.01
Selling price = $25,250,000 * 1.01
Selling price = $25,527,500
Therefore, the selling price of the bonds with a face value of $250,000 and a quoted price of 101 is $25,527,500.
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Although Alexander Hamilton developed policies to promote industry at the beginning of the American republic's history, it was not until _______________, that the federal government began playing a central role in promoting economic growth.
It was not until twentieth century that the that the federal government began playing a central role in promoting economic growth.
Alexander Hamilton is regarded as one of U.S. Founding Father, author of the Federalist papers and first secretary of the U.S. treasury.
Some of Alexander Hamilton ideas created the National Bank, founded the U.S. Mint and created a system to levy taxes on luxury products.
Alexander Hamilton developed economic policies to promote industry at the beginning of the American republic's history but it was not until twentieth century that the that the federal government began playing a central role in promoting economic growth.
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the accounting term for a situation where two or more people act in coordination to circumvent internal controls is
The accounting term for an instance where two or more individuals work together to get around internal controls is Collusion.
Internal controls are the systems, guidelines, and practises that a business uses to guarantee the accuracy of its financial and accounting data, foster accountability, and Collusion fraud. As the name implies, corrective controls are implemented to address any problems identified by detective controls.
These may also involve fixing any errors discovered once an accountant has completed the audit procedure on the accounting books. When two or more individuals collaborate to evade internal checks and steal from a business, this is called collusion.
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Perry. Inc. has $54.527 of finished goods imventory as of December 31 . If finished goods inventory at January 1 was $70,184 and COGS was $284,347, how much would Perry report for cost of goods manufactured? Type your answer.
Perry, Inc. would report a cost of goods manufactured of $268,690, considering the change in finished goods inventory and the cost of goods sold (COGS). The inventory decreased by $15,657, and COGS amounted to $284,347.
To determine the cost of goods manufactured for Perry, Inc., we need to calculate the change in finished goods inventory.
Change in finished goods inventory = Ending finished goods inventory - Beginning finished goods inventory
Change in finished goods inventory = $54,527 - $70,184
Change in finished goods inventory = -$15,657
The cost of goods manufactured is equal to the sum of the change in finished goods inventory and the cost of goods sold (COGS).
Cost of goods manufactured = Change in finished goods inventory + COGS
Cost of goods manufactured = -$15,657 + $284,347
Cost of goods manufactured = $268,690
Therefore, Perry, Inc. would report a cost of goods manufactured of $268,690.
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From an aggregate plan, a planner must disaggregate the available information and build a rough master production schedule (MPS) that identifies the batches produced in each time periodTrue or False
True. An aggregate plan provides an overall view of the expected demand, capacity, and inventory levels for a certain period.
However, to turn this plan into an actionable production schedule, the planner must disaggregate the information into more detailed components. This involves breaking down the aggregate plan into smaller units, such as product families, and determining the specific quantities and timing for each one.
Once this is done, the planner can build a rough master production schedule (MPS) that identifies the batches produced in each time period. The MPS serves as a detailed plan that outlines the production requirements for each item and ensures that the overall production plan is feasible and can be executed. Therefore, the statement that a planner must disaggregate the available information and build a rough master production schedule (MPS) from an aggregate plan is true.
The process of disaggregation and how it relates to the creation of an MPS. It would also provide examples of how this process can be done and how it impacts the production planning process.
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If the government increases expenditures on goods and services.
Answer:
I don't understand
please make your question clear
Question 6 of 10 When making an ad, avoid using:
A. catchy headlines
B. too few words
C. too much info
D. audience knowledge
Answer:
Its A
Explanation:
Because people dont like wierd ads and sketchy things
Answer:
too much info. Marketing should generate the greatest interest with the fewest words
The _____ property determines the order in which each control receives the focus
The tabindex property determines the order in which each control will receives the focus.
The tabIndex property is an integer value that can be set on controls in a user interface, such as text boxes, buttons, and other input elements. Controls with a lower tabindex value receive focus first when the user will navigates through the interface using the Tab key or the other input methods.
By setting the tabIndex property on controls, developers can control the order in which users will interact with the interface, which can help improve the usability as well as accessibility of an application or the website.
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How long to the nearest tenths place of a year, does it take an investment of $20,000, to grow to $100,000, if it is invested at a 4.5% annual interest rate and compounded continuously? Do not include units in your answer (years)
It takes approximately 12.15 years for the investment to grow from $20,000 to $100,000 with a 4.5% annual interest rate and continuous compounding.
To calculate the time it takes for an investment to grow to a certain amount with continuous compounding, we can use the formula.
t = ln(A/P) / (r)
Where:
t = time in years
A = final amount
P = principal amount (initial investment)
r = annual interest rate
In this case, the principal amount (P) is $20,000, the final amount (A) is $100,000, and the annual interest rate (r) is 4.5%.
Plugging in the values:
t = ln(100000/20000) / (0.045)
t ≈ ln(5) / (0.045)
Using a calculator, we find:
t ≈ 12.15 years
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Suppose that the consensus forecast of security analysts of your favorite company is that earnings next year will be E1 = $5.00 per share. Suppose that the company tends to plow back 50% of its earnings and pay the rest as dividends. If the Chief Financial Officer (CFO) estimates that the company's growth rate will be 8% from now onwards, answer the following questions. (a) If your estimate of the company's required rate of return on its stock is 10%, what is the equilibrium price of the stock? (b) Suppose you observe that the stock is selling for $50.00 per share, and that this is the best estimate of its equilibrium price. What would you conclude about either (i) your estimate of the stock's required rate of return; or (ii) the CFO's estimate of the company's future growth rate? (c) Suppose your own 10% estimate of the stock's required rate of return is shared by the rest of the market. What does the market price of $50.00 per share imply about the market's estimate of the company's growth rate?
a. The equilibrium price of the stock can be calculated using the Gordon growth model. The model can be represented as: P = D₁ / (r - g), where P is the equilibrium price of the stock, D₁ is the dividend paid at the end of the first year, r is the required rate of return, and g is the expected growth rate. In this case, D₁ can be calculated as 50% of E₁, or $2.50.
Therefore, using a required rate of return of 10% and a growth rate of 8%, the equilibrium price of the stock can be calculated as $50.00.
b. If the stock is selling for $50.00 per share, and that is the best estimate of its equilibrium price, then it implies that the market believes the required rate of return on the stock is equal to the CFO's estimate of the company's future growth rate of 8%.
This would mean that the market believes the company will be able to continue growing at a rate of 8% in the future, which is consistent with the CFO's estimate.
c. If the market price of the stock is $50.00 per share, and the market's estimate of the required rate of return on the stock is 10%, then using the Gordon growth model, the market's estimate of the company's growth rate can be calculated as 2%.
This is because if r = 10% and P = $50.00, then D₁ = $2.50, and plugging these values into the Gordon growth model, we get: 50 = 2.5 / (0.1 - g), which yields a growth rate of 2%.
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The consensus forecast of security analysts of your favorite company is that earnings next year will be E1 = $5.00 per share. shareholders the Gordon growth model can be used to determine the stock's equilibrium price.
The Gordon growth model can be used to determine the stock's equilibrium price. P = D,/(r - g), where P is the equilibrium price of the stock, D, is
the dividend paid at the end of the first year, r is the required rate of return, and g is the anticipated growth rate, can be used to illustrate the model. In this scenario, D is equal to $2.50 or 50% of E.
The stock's equilibrium price can be computed as $50.00 utilising a 10% needed rate of return and an 8% growth rate. If the best estimate of the stock's equilibrium price is $50 per share,
then this suggests that the market is in a state of equilibrium. This would imply that the market agrees with the CFO's prediction that the business will be able to grow at a rate of 8% going forward.
c. Using the Gordon Growth Model, it is possible to determine the market's estimated annual growth rate of the company as 2% if the market price of the stock is $50 per share and the required rate of return on the stock is estimated by the market to be 10%.
This is due to the fact that when these variables are entered into the Gordon growth model, we obtain the following result: 50 = 2.5/ (0:1 - g), which results in a growth rate of 2% if r=10% and P=$50.00, then D, = $2.50.
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What must be done if a transaction increases the left side of the accounting equation?
Answer:
Explanation:
Neje
How much does one need to have to open a bank