The following term describes a price index of about 90,000 items in 364 categories, used to measure inflation within our economy is Consumer Price Index (CPI).
The Consumer Price Index (CPI) is a measure of changes in the cost of goods and services acquired or utilized by families. It is a price index that measures the weighted average of costs of a basket of goods and services, such as transportation, food, and medical care.
The Consumer Price Index is updated regularly and used as a standard measure of inflation in the economy. A variety of statistics and financial information are included in the Consumer Price Index (CPI), making it one of the most important and often quoted economic indicators.
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On April 1, Moloney Musical Instruments sold merchandise on account to Fronke's Flutes for $7,000 on Invoice 1001, terms 2/10, n/30. Payment was received in full from Fronke's Flutes, less discount, on April 10.
Answer:
The question is "Record the transactions on April 1 and April 10. View transaction list Journal entry worksheet Record the sale on April 1."
Date Account Title and Explanation Debit Credit
April 1 Account receivables $7,000
Sales revenue $7,000
April 10. Cash ($7,000*98%) $6,860
Sales discount ($7,000*2%) $140
Account receivables $7,000
Master Mopeds Inc. has slightly different versions of the same moped for the American, European, and Asian markets. Its employees are grouped into divisions based on the market in which they have been assigned. This is an example of ________ departmentalization.
Answer:
"Geographical" is the correct answer.
Explanation:
The categorization procedure on something like a land-based foundation. If the consumers of a business are spread geographically, they can combine geographically-based employment, which is considered as Geographical departmentalization.Offerings could be developed to improve user impact on the world by offering customized services throughout a particular nation or location.In which systems development life cycle do model developers use a model to generate functional requirements and physical design specifications simultaneously
The systems development life cycle in which model developers use a model to generate functional requirements and physical design specifications simultaneously is:
Prototyping life cycleWhat is a Model?This is a prototype which is used to represent a real thing to show the real life scenarios and applications on a much smaller scale.
With this in mind, we can see that in the prototyping life cycle, the model developers make functional requirements simultaneously to find out how the physical design specifications would look like.
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what statement best illustrates an example of economic specialist
Analyzing Finance Workers' Qualities, Skills, and Abilities.
According to the video, what qualities, skills, and abilities do workers in this career cluster need? Check ALL that apply.
a. physical strength for working outdoors and traveling
b. communication skills for explaining complex concepts
c. leadership skills for persuading others to take action
d. the ability to inspire others
e. the ability to be unemotional about business
f. the ability to be comfortable in an office setting
The qualities, skills, and abilities which workers in this career cluster need are:
B. Communication skills for explaining complex conceptsE. The ability to be unemotional about business F. The ability to be comfortable in an office settingAccording to the given question, we are meant to show the abilities, skills which workers that were displayed on video needs to have if they are to thrive in their chosen profession.
As a result of this, we can see that the workers in this particular career cluster needs communication skills, emotional intelligence and ability to be comfortable in an office setting.
Therefore, the correct answers are options B, E and F
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Answer:
B.E.F
Explanation:
A lender might investigate a borrower’s personal assets if that borrower was part of which of the following organizations?
General partnership
Corporation
Limited partnership
REIT
In a general partnership, lender checks the personal assets of the borrower.
In a general partnership, the lender checks the personal assets of the borrower.
A general partnership is an organization in which two or more persons come together for the purpose of carrying on a legal business with a view to making a profit. In a general partnership, the lender checks the personal assets of the borrower. In a general partnership, the liability of each partner for the partnership's debts is unlimited. As a result, the lender will investigate the personal assets of all partners in a general partnership in order to determine if they can be used as collateral for the loan.
Personal assets are what the individual partner owns outside of the partnership, such as a car, house, or investments. By checking the personal assets of the borrower, the lender can see if the borrower is in a position to repay the loan if the business fails. This is a critical step in the lending process, as it helps the lender to make a more informed decision about whether or not to approve the loan.
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Question 10 of 10
What is one of the main benefits of using slide transitions?
Answer:
they have a timer function that can help your presentation stay on pace.
The law of demand relates primarily to which of the following?
A
the actions of producers in response to changes in prices
B
the actions of producers in response to changes in production costs
C
the actions of consumers in response to changes in prices
D
the actions of consumers in response to changes in production costs
The law of demand relates primarily to the actions of consumers in response to changes in prices. Thus option (C) is correct.
What is demand?A demand of a product or a commodity is how much a consumer is willing and able to pay for a product at a given time.
The law of demand states the relationship between price and quantity demanded, ceterus paribus. It states that when the price of a product increases its demand decreases, other things remaining constant and vice versa.
The graphical representation of the law of demand is known as demand curve . When the tuition fees of a college falls then the demand for college enrollment will rise.
The law of demand relates primarily to the actions of consumers in response to changes in prices. Therefore, option (C) is correct.
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Asmeret works as a hotel manager for a popular family resort and casino in Atlantic City, New Jersey. During the summer, hotel managers aim for an occupancy rate of at least 85% to ensure that overhead costs are covered. The resort is known for its quality services; guests generally return an average of three times during the summer and use their rewards and loyalty cards during their stays. On this particular day, Asmeret is quite stressed because the occupancy rate is only 65%. If the hotel fails to sell at least an additional 20% of the available rooms, she might be in some trouble. Required: Which aspect of a service is best illustrated in the scenario?
A) Services are perishable.
B) Service standards show wide variation.
C) Services are inseparable from service providers.
D) Companies cannot easily standardize the services they provide.
E) Buyers play an important role in the creation and distribution of services.
Answer: A) Services are perishable
Explanation:
The aspect of a service is best illustrated in the scenario is that services are perishable.
Perishability is a term that is used in marketing and it implies that the capacity of service cannot be stored and sold in the future. Once services have been used, they cannot be saved, returned or stored.
Once services has been rendered to a customer, it has been then consumed and it can't be delivered to another person. Other characteristics of services are inseparability, variability and intangibility.
during 2021, it costs north company $18 per unit to produce part t5. during 2022, the unit cost has increased to $21 per unit. in 2022, south company has offered to provide part t5 for $16 per unit to north. none of the fixed manufacturing overhead costs are avoidable. which of the following statements is true with regard to this make-or-buy decision?
Incremental costs are $8 per unit. Incremental revenues are $3 per unit. Differential costs are $11 per unit. Net relevant costs are $8 per unit.
The differential costs are $8 per unit in this make-or-buy decision.
During 2021, it costs North Company $18 per unit to produce part T5. During 2022, the unit cost has increased to $21 per unit. In 2022, South Company has offered to provide part T5 for $16 per unit to North. None of the fixed manufacturing overhead costs are avoidable. With regard to this make-or-buy decision, the following statement is true:
Differential costs are $8 per unit.
Here's the step-by-step explanation:
1. Calculate the increase in production costs:
In 2022, the production cost per unit increased from $18 to $21. The difference is $21 - $18 = $3.
2. Calculate the cost difference between producing and buying:
The cost of buying part T5 from South Company is $16 per unit, while the production cost in 2022 is $21 per unit. The difference is $21 - $16 = $5.
3. Determine the differential costs:
Since the production cost increased by $3, and the cost difference between producing and buying is $5, the differential cost is the sum of these two costs: $3 + $5 = $8.
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Which of the following is NOT one of the common reasons for a firm to buy back its own stock?
A Management wants to remove some shares from the market in order to encourage a hostile takeover
B. Management wants to increase earnings per share by reducing the number of shares of stock outstanding
C Management feels that the stock is selling for an unusually low price and is a good buy
D. Management wants to stimulate trading in the company's stock
Management wanting to remove some shares from the market in order to encourage a hostile takeover is NOT one of the common reasons for a firm to buy back its own stock .stock buyback, also known as a share buyback, occurs when a corporation purchases some of its outstanding shares of stock.
This typically entails a public firm purchasing its own shares of stock on the open market. Companies repurchase stock for a variety of reasons, including enhancing shareholder value, managing the company's capital structure, and reducing dilution from stock-based compensation. It's a technique that corporations can employ to enhance shareholder value. Additionally, management wants to increase earnings per share by reducing the number of shares of stock outstanding is one of the common reasons for a firm to buy back its own stock. The purpose of a buyback is to increase the earnings per share (EPS) metric by reducing the number of shares outstanding. EPS is a financial ratio that calculates a company's net earnings per outstanding share of stock. By reducing the number of shares outstanding, the company can boost EPS without increasing net income. As a result, firms often use share repurchases as a method of returning cash to shareholders in the hopes of increasing shareholder value.
Management feels that the stock is selling for an unusually low price and is a good buy is another common reason for a firm to buy back its own stock. A firm can repurchase shares if management believes that the market is undervaluing its stock and that it represents an excellent purchase opportunity. This strategy can enhance shareholder value by reducing the number of shares outstanding while also increasing earnings per share. As a result, the firm's share price may rise. Management wanting to stimulate trading in the company's stock is also a common reason for a firm to buy back its own stock. A share buyback can be used to increase the number of shares traded by decreasing the number of shares available. It can also be used to create a perception of demand for the company's stock. As a result, stock buybacks can result in increased stock trading volume and increased liquidity in the company's stock market. Therefore, options A, B, and C are all common reasons for a firm to buy back its own stock.
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The owner of an 8-story commercial building in Abu Dhabi has approached you for consultation of whether it is economically feasible to retrofit the building's central air conditioning system. The owner wants to cut in the yearly electricity expenses through installing 12 variable frequency drive (VFD) units to enhance the overall efficiency of the central A/C system. It is expected that the deployment of the VFD units will save up to 30% of the annual energy consumption of the A/C system. Using the information provided in the Table (below), calculate the following: a) The payback period (in years) using the simple (non-discounted) appraisal. b) The payback period (in years) using the discounted cash flow appraisal. Hint: assume a discounted rate of 12%
Unfortunately, without specific data on the initial investment and annual energy cost savings, I cannot provide the payback period using either the simple or discounted cash flow appraisal.
To determine the economic feasibility of retrofitting the central air conditioning system in the 8-story commercial building in Abu Dhabi, we can calculate the payback period using both simple (non-discounted) and discounted cash flow appraisals.
a) Payback Period (Simple Appraisal):
The payback period represents the time it takes for the initial investment to be recovered through cost savings. In this case, the installation of 12 variable frequency drive (VFD) units is expected to reduce the annual energy consumption of the A/C system by 30%.
To calculate the payback period, we need information on the initial investment and the annual energy cost savings. Unfortunately, the provided table is missing, and without specific data on these values, a precise calculation cannot be performed. However, I can guide you through the process if you can provide the required information.
b) Payback Period (Discounted Cash Flow Appraisal):
The discounted cash flow appraisal takes into account the time value of money by applying a discount rate to future cash flows. In this case, we'll assume a discount rate of 12%.
Again, without specific data on the initial investment and annual energy cost savings, it is not possible to calculate the payback period using the discounted cash flow appraisal. However, if you provide the required information, I can guide you through the calculation process.
In conclusion, to accurately assess the economic feasibility of retrofitting the building's central air conditioning system, we need detailed information on the initial investment, annual energy cost savings, and the current electricity expenses. With this information, we can calculate the payback period using both simple and discounted cash flow appraisals to determine the viability of the proposed retrofitting project.
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the rhaegel corporation's common stock has a beta of 1.2. if the risk-free rate is 3 percent and the expected return on the market is 15 percent, what is the company's cost of equity capital?
Answer: The cost of equity capital of the Rhaegel Corporation is 17.4%.
The beta coefficient is used to determine the cost of equity capital of a corporation. The Rhaegel Corporation's common stock has a beta of 1.2. If the risk-free rate is 3% and the expected return on the market is 15%, what is the cost of equity capital of the corporation?The formula for the cost of equity capital is as follows:Re
= Rf + β(Rm - Rf)
Where:Rf is the risk-free rateβ is the beta of the stockRm is the expected return on the marketRe is the cost of equity capital of the corporation.Substituting the given values in the above formula, we haveRe
= 3 + 1.2(15 - 3)Re
= 3 + 1.2(12)Re
= 3 + 14.4Re
= 17.4%
Therefore, the cost of equity capital of the Rhaegel Corporation is 17.4%. Answer: The cost of equity capital of the Rhaegel Corporation is 17.4%.
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What have instant communication and sales made possible? Check all that apply.
The quality of the report Jamie turned in was lower than expected. Here was
part of his explanation: 'Large portions of the material came from Luke down
the hall." What likely character flaw does this reveal in Jamie?
Answer:
he was not doing his job right? im sorry if this is wrong
Explanation:
Answer:
B.Lack of willingness to take responsibility
Explanation:
Please post detailed answers to the following questions. Please use complete sentences. You've learned about four skills you need to succeed when working in a group: cohesion, responsibility and accountability, problem solving, and organization. Which do you believe is the most important factor to group success? Give specific reasons for your answer.
Responsibility and accountability is the most important factor to group success.
Accountability means that the team keeps its promises, completes projects on time, and achieves its objectives. Team accountability necessitates that each individual be held accountable for their own part, which includes both day-to-day work and long-term objectives.
Why is accountability crucial to success?Tolerating liability is vital for progress since it assists you with managing your errors without being overloaded by lament, culpability, or disgrace. As a person gets better at admitting that they are not perfect and doing what needs to be done to make up for them, it also builds character.
Why is the value of responsibility so important?Responsibility is important because it gives people a sense of purpose and helps them become resilient in the face of personal and social adversity. Avoiding responsibility, like addiction, may feel good in the short term, but it will only make things worse in the long run.
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a company's profit in million dollars given by the function 32t where is in years. find the year when the company will achieve its maximum profit. (hint: don't waste time trying to factor the cubic or find its roots in any way, as they are not important for the problem.)
The company's profit function is P(t) = 32t³, where t is in years.
To find the year when the company will achieve its maximum profit, we need to analyze the function's behavior. Since it's a cubic function with a positive coefficient (32), it doesn't have a maximum or minimum point, and the profit will keep increasing as time goes on.
Therefore, there's no specific year when the company will achieve its maximum profit, as it will continue to grow indefinitely.
The profit function P(t) = 32t³ represents a cubic function, which means its graph has a general shape of a curve. The coefficient of the highest-degree term (32) is positive, which indicates that the function increases as t increases.
Since there's no restriction on the value of t, the function will keep increasing as the years pass. As a result, there's no particular year when the company will reach its maximum profit. Instead, the company's profit will keep growing as time progresses.
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Why price will be low in a market economic system?
Other than competitors
Answer:
In a market economy Price is determined by demand and supply, for example when there is a low price for a good it means the demand is low. However in market economy price for abundant goods never gets high to a critical point due to the fact of consumer sovereignty environment which consumers are the rulers for suppliers.
today, bruce and brenda each have $150,000 in an investment account. no other contributions will be made to their investment accounts. both have the same goal: they each want their account to reach $1 million, at which time each will retire. bruce has his money invested in risk-free securities with an expected annual return of 5 percent. brenda has her money invested in a stock fund with an expected annual return of 10 percent. how many years after brenda retires will bruce retire?
Today, Bruce and Brenda each have $150,000 in an investment account. Bruce will be able to retire 19.0 years after Brenda does.
What is an investment?An investment is an asset or item purchased with the goal of generating income or appreciation in value over time. Investments can take many forms, including stocks, bonds, real estate, commodities, mutual funds, and more.
Some investments may offer high returns but come with a high level of risk, while others may offer more modest returns but are relatively safe.
In the above case of investment, the Bruce will be able to retire 19.0 years after Brenda does.
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What+is+the+value+of+a+perpetual+bond+with+a+par+value+of+$1,000+and+a+coupon+rate+of+9%+(semiannual+coupon)?+the+bond+has+a+yield+to+maturity+of+6.40%.+group+of+answer+choices
The value of a perpetual bond with a par value of $1,000 and a semiannual coupon rate of 9% at a yield to maturity of 6.40% is approximately $1,116.67.
To calculate the value of a perpetual bond, we need to use the formula for the present value of a perpetuity. The present value of a perpetuity is equal to the annual coupon payment divided by the yield to maturity. In this case, the annual coupon payment is $1,000 * 9% = $90. Since the coupon is paid semiannually, the semiannual coupon payment is $90 / 2 = $45. The yield to maturity is 6.40%, which can be converted to a semiannual yield of 6.40% / 2 = 3.20%. Therefore, the value of the perpetual bond can be calculated as $45 / 3.20% = $1,406.25. However, since the bond has a par value of $1,000, we need to discount the value by the perpetuity factor of $1,000 / $1,406.25 = 0.7107. Therefore, the value of the perpetual bond is approximately $1,406.25 * 0.7107 = $1,116.67.
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prepare a double entry ledger entries January 3 took out of the cash till$50 and put into the business by cheque Jan 4 the proprietor put a further$5000 in to business by cheque .please I need it quick
Explanation:
In the first entry, $50 is taken out of the cash till and put into the business as drawings. The effect is a decrease in the cash balance and an increase in the drawings account.
In the second entry, the proprietor puts a further $5000 into the business by cheque. The effect is an increase in the capital account and an increase in the bank balance.
It's important to note that "Drawings" and "Capital" are the accounts used to record the personal transactions of the business owner in this case, it is assumed that the business is a proprietorship. Other forms of business may have different accounts to record the personal transactions of the owne
What are the types of economic Aspects? and how do plants and
gardens are related to it? (macro economics?
The types of economic aspects in macroeconomics are consumption, investment, government spending, and net exports.
Consumption refers to the spending by households on goods and services. Investment includes spending by businesses on capital goods, such as machinery and equipment, to increase production. Government spending refers to the expenditure by the government on public goods and services, such as infrastructure and defense. Net exports represent the difference between a country's exports and imports.
Plants and gardens can be related to these economic aspects in various ways. For example, the production and sale of plants and garden-related products contribute to consumption. When households purchase plants or gardening tools, it stimulates economy activity. Moreover, the gardening industry itself contributes to investment as businesses invest in tools, equipment, and infrastructure to meet the demand for gardening products.
Additionally, plants and gardens can have an impact on government spending. Governments may invest in public gardens or parks as part of their spending on public goods and services. These green spaces can provide recreational areas and contribute to the overall well-being of the community.
In summary, plants and gardens are related to economic aspects such as consumption, investment, and government spending, as they contribute to economic activity and can be considered part of the broader macroeconomic landscape.
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What best describes the organizational component of the p.o.w.e.r. process?
The organizational component of the P.O.W.E.R process is the final stage and helps to ensure that the previous stages are implemented and achieved by creating an organizational structure to support the power process. The P.O.W.E.R process is a comprehensive model that focuses on understanding the needs of consumers and how to help them make purchase decisions.
The P.O.W.E.R acronym stands for Prepare, Organize, Work, Evaluate, and Re-evaluate. The P.O.W.E.R process is a useful model in guiding businesses and consumers in their purchase and sales decisions.The organizational component of the P.O.W.E.R process is the final stage, which is concerned with creating an organizational structure to support the power process. It helps to ensure that the previous stages are implemented and achieved.
The organizational component is important because it defines roles, responsibilities, and authority within the organization. It also provides a framework for the allocation of resources and decision-making processes.An effective organizational structure is essential for the success of the P.O.W.E.R process. The organizational structure should be designed to support the needs of the customer and the business. It should be flexible enough to accommodate changes in the market and the needs of the business. The structure should also promote collaboration and communication among employees and departments.To conclude, the organizational component of the P.O.W.E.R process is important because it helps to ensure that the previous stages are implemented and achieved by creating an organizational structure to support the power process. The organizational structure should be designed to support the needs of the customer and the business, be flexible enough to accommodate changes in the market, and promote collaboration and communication among employees and departments.
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g a machine purchased for $45,000 has a depreciable life of four years. it will have an expected salvage value of $6,000 at the end of the depreciable life. if the double-declining balance method is used, what is the depreciation amount for year 3?
The double-declining balance method is an accelerated depreciation method that allows for a larger amount of depreciation to be recognized in the early years of an asset's life. Depreciation amount for year 3 is of $9,000
To do this, we divide 2 by the asset's depreciable life, which in this case is 4 years. This gives us a depreciation rate of 50% per year. We then apply this rate to the asset's beginning book value (which is the original cost minus any accumulated depreciation) to calculate the depreciation amount for the year.
In year 3, the beginning book value of the machine would be $45,000 (original cost) minus $27,000 (total accumulated depreciation for years 1 and 2) minus $0 (no depreciation taken in year 3 yet), which equals $18,000. Applying the 50% depreciation rate, we get a depreciation amount of $9,000 for year 3. This brings the book value of the machine at the end of year 3 to $9,000 ($18,000 beginning book value minus $9,000 depreciation).
It's important to note that the salvage value of $6,000 at the end of the depreciable life does not come into play in this calculation until the final year of the asset's life. In that year, the depreciation amount will be adjusted so that the book value of the asset is equal to the salvage value.
Overall, the double-declining balance method can be useful for businesses that want to recognize higher depreciation expenses in the early years of an asset's life, which can help to reduce taxable income and improve cash flow.
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The production era marked a time when companies were able to increase their profits because they were able to decrease their production costs.
True
False
Answer:
true
Explanation:
it was the time of the production line making it easy to make expensive things with people that are lower skilled and cheaper overall
Answer:
True
Explanation:
have a good day
which of the following means to procure inputs involves a formal relationship between the buyer and seller? multiple choice question. vertical integration a contract spot exchange
A formal connection between the buyer and seller is involved when using a contract to purchase inputs.
A good working connection might result in lower procurement costs since the supplier may favor your company once the relationship has been established and provide incentives to keep you as a client.
Transactional, functional, affiliative, and strategic connections are the four different kinds that buyers and sellers can have with one another. The four fundamental sales techniques employed by salespeople are script-based selling, needs-satisfaction selling, consultative selling, and selling to strategic partners.
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When you are in a conflict with another person, it is important to remember:
OA.
That you are right and he is wrong.
O B.
All the negative things the other person has said or done to you.
O C.
That you also helped create the conflict.
OD.
That it is your right to control your friends.
From what you have learned, describe the role of buyers and sellers in determining market clearing price. Provide "real life" scenarios and examples.
Answer:
Buyers try to minimize what they spend by buying at the lowest price and not purchasing if the price is too high. Because of this we have the law of demand in which quantity demanded decreases as price increases. On the other hand, sellers try to maximize their earnings by increasing quantity supplied as high as price allows (the law of supply states that as price increases, so does quantity supplied). The price in which the two parties compromise is the market clearance price.
Now lets look at the price of bubble gum, an elastic good. When sellers list this product at a higher price they are more willing to supply more products to their buyers. Buyers however will respond to an increase in price with a decrease of bubble gum purchases. These two counteracting parties set a limit on the price of gum and the quantity supplied. This illustrates the concept of the invisible hand driving the market to find the clearance price, or equilibrium, of bubblegum.
Claire is opening her first savings account with a $200 deposit. Her account pays 0.5% interest compounded monthly. How much will this $200 earn in interest over the next 20 years?
Please help I'm about to fail my class and i will be grounded for life, 100 pts for it! its financial literacy
Part One–Research
Imagine you bought 100 shares of stock three years ago and are selling it today. Select a company and research its stock prices. You can start with websites like Nasdaq and Fidelity. Determine the stock's price three years ago, or the purchase price, and its price today, or the selling price.
Part Two–Determine the Real Return
Calculate the real return of your stock investment using the following information:
Purchase price of 100 shares of stock
Selling price of 100 shares of stock
10% tax rate
3% inflation rate
2% administrative fee on the selling price of the stock
Part Three–Evaluate
Analyze your research and calculations, and answer the following questions:
What company did you select to buy stock in? Why did you select the company?
Consider the real return of the stock investment. Do you consider it a wise investment? Why or why not?
1. I imagine buying 100 shares of Amazon.com Inc. on January 3, 2020, when the stock price was $93.75, investing $9,375.
Today, October 31, 2022, the stock price of Amazon.com Inc. is $102.44.
2. The real return on my investment in Amazon.com Inc was a net loss of 7.12% or $667.60.
3. The company I selected to buy its stock three years ago was Amazon.com Inc.
4. I decided on Amazon.com Inc., hoping to earn spectacular returns since it is a multinational technology company.
5. When I consider the actual return on the stock investment in Amazon.com Inc., I think it was an unwise investment.
6. The investment returned a negative real value because I realized less than I initially invested; I actually lost about $667.60 overall.
What is the stock investment?Stock investment is the purchase of shares for an ownership interest in a publicly-listed company.
The investor makes the investment with the hope that the investee will grow and perform well over some period, enabling the investor to earn some real returns (in the form of dividends and capital appreciation).
Purchase of 100 shares Jan. 3, 2020 = $9,375 (100 x $93.75)
Sales of 100 shares Oct. 31, 2022 = $10,244 (100 x $102.44)
Tax (10%) = $1,024.40 ($10,244 x 10%)
Inflation (3%) = $307.32 ($10,244 x 3%)
Administration fee on sales (2%) = $204.88 ($10,244 x 2%)
Real Returns in dollars = $8,707.40 ($10,244 - $1,024.40 - $307.32 - $204.88)
Loss on returns = $667.60 ($8,707.40 - $9,375)
Loss percentage = 7.12% ($667.60/$9,375 x 100)
Unfortunately, Amazon.com Inc. did not pay any dividends during the period of my investment, and I really lost funds to taxes, inflation, and administration fees when I sold it.
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