The demand for dollars is downward sloping due to the relationship between the price of dollars (exchange rate) and the quantity demanded. When the price of dollars decreases, the quantity demanded increases, and vice versa. There are three main groups demanding dollars: foreign consumers, investors, and central banks.
Foreign consumers demand dollars to purchase American goods and services. When the exchange rate is low, it becomes cheaper for them to buy US products, thus increasing the demand for dollars. Conversely, when the exchange rate is high, they may seek alternative goods and services from other countries, leading to a decrease in dollar demand.Investors also play a significant role in dollar demand. When US investments become more attractive due to favorable economic conditions or higher interest rates, foreign investors need to purchase dollars to invest in US assets. A lower exchange rate means they can acquire more dollars with their currency, leading to higher demand. On the other hand, when US investments are less attractive, they may move their investments to other countries, reducing the demand for dollars.Lastly, central banks demand dollars as part of their foreign exchange reserves. These institutions aim to maintain stability in the currency market and may buy or sell dollars to influence exchange rates. When the dollar's price is low, central banks may increase their dollar reserves, driving up demand. In contrast, they may sell dollars when the price is high, lowering demand.In summary, the demand for dollars is downward sloping due to the interaction of exchange rates with the quantity demanded by foreign consumers, investors, and central banks. Lower exchange rates encourage increased demand, while higher rates lead to decreased demand.
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Ofac requires depository institutions that hold blocked property to file annual reports by.
Ofac requires depository institutions that hold blocked property to file annual reports by September 30th.
What is annual report?It should be noted that annual report is a document which describes the financial condition of a company for the previous year.
In this case, Ofac requires depository institutions that hold blocked property to file annual reports by September 30th.
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when a project’s returns are expected to be negatively correlated with market returns, stand-alone risk is a good proxy for market risk.
False. When a project's returns are expected to be negatively correlated with market returns, stand-alone risk is not a good proxy for market risk.
Stand-alone risk refers to the risk associated with an individual project or investment in isolation. It considers factors such as project-specific risks, industry risks, and company-specific risks. On the other hand, market risk reflects the overall risk of the market and is measured by the systematic risk or beta.Negative correlation with market returns suggests that the project's returns move in the opposite direction of the overall market. In this case, the project's stand-alone risk may not accurately capture the impact of market risk, as it is expected to behave differently from the market. To assess market risk, it is essential to consider the project's beta, which measures the sensitivity of its returns to changes in the market. Beta captures the project's exposure to systematic or market risk and provides a more appropriate measure of market-related risk.
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which criticism is aimed toward university presses? a they produce mostly obscure books that only a handful of scholars read. b they focus on publishing only blockbuster books. c their alliances with commercial houses have driven up costs. d they don’t contribute to professors’ chances for tenure.
The criticism aimed towards the university presses is that they produce mostly obscure books that only a handful of scholars read.
A university press is an associate degree academic publishing house specializing in monographs and academic journals. Most are nonprofit organizations[citation needed] and an integral part of a large research university. They publish work that has been reviewed by students within the field. They manufacture primarily academic works however also usually have trade books for a lay audience. These trade books also get peer-reviewed.
Because scholarly books are principally unprofitable, university presses may publish textbooks and reference works, that tend to own larger audiences and sell additional copies. Most university presses operate at a loss and are backed by their owners; others are needed to interrupt even. Demand has fallen as library budgets are cut and the online sales of used books undercut the new book market. several presses are experimenting with electronic commercial enterprise
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According to GAAP, a loss contingency shall be accrued by a charge to income if O it is probable that a liability has been incurred and the amount of the loss can be reasonably estimated. O it is poss
According to Generally Accepted Accounting Principles (GAAP), a loss contingency should be accrued by a charge to income if it is probable that a liability has been incurred and the amount of the loss can be reasonably estimated.
This principle ensures that financial statements reflect the most accurate and reliable information regarding potential losses or liabilities. GAAP provides guidance on how companies should account for loss contingencies, which are potential losses that are contingent upon the occurrence or non-occurrence of future events. To determine whether a loss contingency should be accrued and recognized in the financial statements, two conditions must be met:
1. Probability: It must be probable that a liability has been incurred. Probable means that the likelihood of the event occurring is more likely than not. This requires a reasonable assessment of the available evidence and judgment to determine the likelihood of incurring the liability.
2. Reasonable Estimate: The amount of the loss must be reasonably estimable. This means that the company must be able to make a reasonable approximation of the potential loss based on available information, such as historical data, expert opinions, or other relevant factors.
If both conditions are met, the company should accrue the loss contingency by recording an expense and creating a liability on the financial statements. This ensures that the financial statements provide a fair and accurate representation of the potential liabilities and their impact on the company's financial position and performance.
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when a retailer advertises a product and makes it available for purchase through telephone or mail orders, the retailer is using
When a retailer advertises a product and makes it available for purchase through telephone or mail orders, the retailer is using direct-response marketing. So, correct option is C.
Direct-response marketing is a type of marketing that elicits a specific, immediate response from the customer, usually through a direct call to action.
In this case, the retailer is advertising a product and making it available for purchase through telephone or mail orders, which are both direct response methods.
The retailer is seeking a response from customers to place an order, and the customer can do so directly by calling the retailer or filling out a mail order form.
Direct-response marketing is an effective method for reaching a specific audience and generating sales, as it allows for immediate and measurable results. It is commonly used for products that are not sold in traditional retail stores or for businesses that have a limited budget for advertising and promotion.
Therefore, correct option is C.
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Complete question is:
When a retailer advertises a product and makes it available for purchase through telephone or mail orders, the retailer is using
a.automatic vending.
b.telemarketing.
c.direct-response marketing.
d.television home shopping.
e.direct selling.
FIRST ANSWER WILL BE NAMED BRAINLIEST
Which action would effectively and appropriately address a budget deficit?
A. reduce income
B. reduce expenses
C. apply for bankruptcy
D. apply for new credit
Answer:
It is letter B
Explanation:
Reducing expenses would effectively and appropriately address a budget deficit. Thus option B is correct.
What is the budget?A budget is a financial plan that projects future earnings and costs. A budget, put simply, forecasts future finances in addition to anticipated revenues and expenditures. Calculating the company's earnings and costs for a set period of time is the procedure for creating a budget.
Increasing tax rates while decreasing government expenditures are the two apparent ways to minimize a budget deficit. the reduction of government spending and/or the raising of taxes, which results in either a rise in the primary surplus or a decrease in the budget deficit. greater taxes and less funding by the government. If public spending is lower than tax receipts, a budget surplus results.
Therefore, option B is the correct option.
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Hannah just finished reading an empirical journal article for a class project. what information might she get out of reading the references section of her article? group of answer choices
Hannah just finished reading an empirical journal article for a class project. So she might get information about the name of an article that researched a similar topic by reading the reference section of her article.
What use does the reference section serve?The Reference Section, which is also known as the Reference List or the List of Works Cited, is a list of the full text (or "biographical") information of the in-text citations that have been utilized in the main text. It contains details like the author, publishing year, title, publisher, and URL.Through the use of dictionaries, encyclopedias, almanacs, bibliographies, atlases, gazetteers, yearbooks, indexes, annuals, handbooks, travel guides, and other reference resources, this part assists users in locating and identifying information.Hannah has just finished reading a research-based journal article for an assignment at school. So, if she reads the reference section of her article, she might learn the name of a piece that investigated a related subject.To learn more about an Article composition, refer to the following link:
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On January 1 of the current year, Barton Corporation issued 11% bonds with a face value of $99,000. The bonds are sold for $94,050. The bonds pay interest semiannually on June 30 and December 31, and the maturity date is December 31, five years from now. Barton records straight-line amortization of the bond discount. The bond interest expense for the year ended December 31 is
Answer:
$11,880
Explanation:
Calculation to determine The bond interest expense for the year ended December 31 is
First step
Semiannual interest=($99,000 * 0.11 * 6/12)
Semiannual interest= $5445
Second step
Semi-annual discount amortization
Semi-annual discount amortization=($99,000 - $94,050)/5*/12
Semi-annual discount amortization=($4950 / 5)*6/12
Semi-annual discount amortization= 495
Third step
Semiannual interest expense=(5445 + 495)
Semiannual interest expense = $5940
Now let determine the bond interest expense
Bond interest expense =($5940 * 2)
Bond interest expense = $11880
Therefore The bond interest expense for the year ended December 31 is $11,880
Which recovery core capability is implemented to return economic and business activities?
Regarding the key capability for economic recovery. In order to offer the community jobs, goods, and services, as well as greater living standards, support the recovery and resiliency of economic
business operations (including food and agriculture). The goal of economic recovery is to create new business and job possibilities that lead to a community that is economically sustainable while also restoring economic and business activities (including food and agriculture) to a healthy state.The goal of economic recovery is to create new business and job possibilities that lead to a community that is economically sustainable while also restoring economic and business activities (including food and agriculture) to a healthy state.
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the maturity value of a $28,000, 6%, 60-day interest-bearing note on august 6, is: A.$28,140 $28,280 B. $22,800 C.$28,276.16 D.None of these
The maturity value of a $28,000, 6%, 60 day interest-bearing note on august 6, is $28,280.
The following is the maturity value calculation formula:
MV = P * (1 + r)n
Maturity value = $28000+($28000*6%*60 days/360 days)
Maturity value =$28000+$280
Maturity value =$28,280
The maturity value of a financial obligation is the sum owing and required to be paid to the holder upon the obligation's maturity period. The expression frequently refers to the outstanding principle balance of a loan or bond. Par value and maturity value are equivalent in the case of a securities.
The amount invested at the beginning of the investment period, n, the number of investment periods, and r, the rate of interest received on those investments are all employed in the method for calculating the maturity value. One obtains multiples, which are nothing more than compounding, by multiplying the frequency of compounding as a power of the interest rate. The maturity value obtained is then obtained by multiplying the result by the principle amount.
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jordan is responsible for creating a new product for a company the product needs to be completely original(not based on any other project) and no outside parties are allowed to have knowledge of this project. what should he do to solicit help in this process.
a. review old company records
b.use employee suggestions
c. contract a marketing research company
d. conduct a customer survey
Answer: use employee suggestions
Explanation:
Jordan is responsible for creating a new product for a company. Jordan use of employee suggestions jordan do to solicit help in this process. Thus, option (b) is correct.
What is employee?The term employee refers to the work in the company to earn the money. The employee is the provided the services to the company with exchange of the salary. The employees are the work with the unity are the increased the wealth of the company.
According to the Jordan is responsible for producing a new production for a company. Jordan use of employee suggestions jordan do to solicit help in this process. The employees suggestions are the benefit to the employees. Jordan is accountable for making a new commodity for a company.
As a result, the Jordan is responsible for creating a new product for a company. Jordan use of employee suggestions jordan do to solicit help in this process. Therefore, option (b) is correct.
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Which of the following is not a reason for customer survey bias in quality measures?
a) Different customers may use different measurement criteria
b) Customers may have an incentive to inflate ratings to influence the average score
c) Customers often lie in consumer surveys
d) Customers are reluctant to leave negative feedback
e) Consumer feedback is unverifiable.
The statement that is not a reason for customer survey bias in quality measures is that “Customers often lie in consumer surveys”. Option C is correct.
While it is possible for customers to provide false information in surveys, this is not considered a common source of bias in quality measures. There are several sources of bias that can affect the results of customer surveys which are,
Selection biasResponse biasSocial desirability biasRecall biasConfirmation biasThe bias introduced by the selection of individuals, groups, or data for analysis in such a way that proper randomization is not achieved, thereby failing to ensure that the sample obtained is representative of the population intended to be analyzed is known as Selection bias. A general term for a wide range of tendencies for participants to respond inaccurately or falsely to questions is known as Response bias.
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What are the main professions in Nepal? Name them
Answer:
The main profession or occupation of Nepal are as follows ÷
1. Tourism= Tourists Guide, translator, hotel manager, waiter, waitress, porter etc
2. Agriculture = Farmers,Agriculture labour, JTA/TA
3. Education = teacher, academic administrator, instructor, librarian etc
Answer for 25 points link to video
Based on Coca Cola's most recent yearly report, they offer over 1.9 billion servings of their items each day in more than 200 nations.
What is the Coca-Cola’s Business about?In terms of question 2, Coca Cola depends intensely on its bottling accomplices for the conveyance of its items. These bottling accomplices are autonomous firms that have understandings with Coca Cola to make, bundle, and disperse its refreshments.
Lastly, for question 3, Coca Cola's approaches to achieving goals in the immediate and distant future exhibit notable differences. In the immediate future, the company's primary goal is to sustain its market presence and financial viability by implementing measures such as reducing expenses and conducting focused promotional efforts.
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See text below
video transcript
0:00
Coca-Cola’s Business And Distribution Strategy
0:03
According to official statistics,1.9 billion Coca-Cola products are sold around the world
0:09
everyday.
0:11
The Coca-Cola Company is a global business that operates on a local scale.
0:16
The Company is able to create a global reach with local focus because of the strength of
0:20
its system, which comprises the Coca-Cola Company and their more than 250 bottling partners
0:26
worldwide.
0:28
The system has numerous legal and managerial departments and sections, all independent
0:32
of each other, and it does not own or control all of its bottling partners worldwide.
0:38
While it is generally perceived that Coca-Cola runs all its operations globally, this process
0:43
is done through various local channels.
0:47
Coca-Cola typically agrees to refrain from selling or distributing, or from authorized
0:51
third parties to sell or distribute, the Company Trademark Beverages throughout the identified
0:56
territory, to guarantee bottling partner exclusivity under that territory and product.
1:02
However, Coca-Cola typically reserves for itself the right to manufacture and distribute
1:08
its trademarked products and brands.
1:11
In exchange Coca-Cola also participates in the sales and marketing activities of its
1:15
bottling partners.
1:18
For instance, in 2019, Coca-Cola spent $4.4 billion in promotional and marketing programs
1:25
with bottling partners.
1:27
The bottling partners manufacture, package and distribute the final branded beverages
1:32
to customers and vending partners, who then sell products to consumers.
1:37
All bottling partners work closely with suppliers- grocery stores, restaurants, convenience stores,
1:43
amongst many others- to execute localized strategies developed in partnership with Coca-Cola.
1:50
More precisely, although Coca-Cola is a global company, its products never have to travel
1:55
far to reach the final consumer, making the product more local than you may think, the
2:00
product is made local to the market where it is sold.
2:04
Their business is a local business, typically products aren’t shipped more than a few
2:08
hundred miles; it’s all about being responsive to the customers needs and the local tastes
2:13
of the consumers in every market.
after watching the video answer the following questions:
1) How many Coca Cola products are sold around the world?
2) How do their bottling partners assist with their distribution?
3) How does Coca Cola act as a company short-term and long term? What is the difference between the two (Be very detailed)
What is the total annual dividend received from owning 100 shares of stock A, if Company A issues a $0.15 quarterly dividend to its shareholders?
Answer:
$60/year
Explanation:
If Company A issues a $0.15 quarterly dividend to its shareholders, then the annual dividend per share would be:
$0.15/quarter x 4 quarters/year = $0.60/year
To find the total annual dividend received from owning 100 shares of stock A, we can multiply the annual dividend per share by the number of shares:
$0.60/year x 100 shares = $60/year
Therefore, owning 100 shares of stock A would result in a total annual dividend of $60.
the proposition that if private parties can bargain without cobbst over the allocation of resources, they can solve the problem of externalities on their ownassumes rational peoplenegotiations costs 0property is well defined
The proposition that if private parties can bargain without cost over the allocation of resources, they can solve the problem of externalities on their own is called the Coase theorem.
The Coase theorem is the proposition that if private parties are able to bargain with each other without any cost, they can solve the problem of externalities on their own. This theorem suggests that if the parties involved in a transaction are able to negotiate and come to an agreement, then the externalities associated with the transaction can be avoided.
This is a powerful concept that has been used to explain how markets can be used to solve problems of externalities, and how the government can intervene to ensure that the parties are able to come to an agreement.
---------The given question is incomplete, the complete question is:
"What do we call the proposition that if private parties can bargain without cost over the allocation of resources, they can solve the problem of externalities on their own?"------------
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Objectives are needed in every area where performance and results affect the survival and prosperity of business. Explain any three objectives of business.
Answer:
The major objectives of a business include the following:
1. Profit
2. Growth
3. Stability
4. Efficiency
5. Survival
Explanation:
1. Profit: this is practically the number one objective of any business, to maximize profit as much as it can. In order words, not just to get back the investment capital, but to earn profit as well.
2. Growth: this involves growing bigger or having an expansion in the number of sales and markets generally. As a customer of a business increases, this is often lead to business growth and more money
3. Stability: to have the stability of operation, without occasional or unnecessary break down in mode of operation or production. This will help to keep the business moving.
In a free market system, the concept of consumer sovereignty means that.
The concept of sovereignty in a free market system means that consumers have the power to decide through their actions which goods and products will be produced.
Free market systemIt corresponds to the independent and decentralized economic system where exchanges and negotiations between individuals and companies take place without government interference.
Therefore, in a free market system, it is impacted by the law of supply and demand, where the consumer regulates decisions through his actions.
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What minimum percentage of all eligible employees must participate in a group life insurance plan if the premiums are completely paid for by the employer
If the premiums are completely paid for by the employer, at least 75% of the eligible employees must participate in a group life insurance plan.
What is Group Life Insurance?Group life insurance refers to a type of insurance that provides coverage for employees of a company or members of an organization. Group life insurance is a common employee benefit, and it is usually less expensive than individual life insurance because of the group's purchasing power. The cost of the insurance policy is shared between the employer and the employees who want coverage.
What is the minimum percentage of all eligible employees that must participate in a group life insurance plan if the premiums are completely paid for by the employer?If the premiums are completely paid for by the employer, a minimum of 75% of the eligible employees must participate in a group life insurance plan. This requirement is put in place to ensure that the group life insurance policy is effective and that there is adequate participation in the program to spread the risk of the insurance company.
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Prompt
What is liability?
Read More >>
Answer:
jobless
Explanation:
someone who depend on other people
which trade sanction (embargo or subsidy) would be more effective in protecting domestic jobs? EXPLAIN WHY!!!
Answer:
International trade increases the number of goods that domestic consumers can choose from, decreases the cost of those goods through increased competition, and allows domestic industries to ship their products abroad. While all of these effects seem beneficial, free trade isn't widely accepted as completely beneficial to all parties
In simplest terms, a tariff is a tax. It adds to the cost borne by consumers of imported goods and is one of several trade policies that a country can enact. Tariffs are paid to the customs authority of the country imposing the tariff. Tariffs on imports coming into the United States, for example, are collected by Customs and Border Protection, acting on behalf of the Commerce Department.6 7 In the U.K., it's HM Revenue & Customs (HMRC) that collects the money.
you are paying off a debt at a nominal 8% per year by paying $400 at the end of each quarter for the next year. find the interest paid in the last $400 payment. (b) if this debt were to be paid off in two equal payments of $1650 at the end of this year and next year, find the interest paid in the first $1650 payment. again the loan rate is a nominal 8% per year compounded quarterly.
The interest paid in the last $400 payment is $7.84 (b) the interest paid in the first $1650 payment is 8.24%. Current Debt Value = 1650 / (1+8.14%) + (1650 / (1+8.14%)2) = $2,932.60
1) Nominal rate is equal to 8%.
annual rate = 8% / 4 = 2%
Interest equals 400 minus (400 / (1+2%))
= $7.84
(b)
Effective yearly rate = (1 + (r/n)
^n - 1
where,
R stands for nominal rate.
n represents the number of compounding periods.
EAR = (1 + (8%/4))
^4 - 1
= 8.24%
Current Debt Value = 1650 / (1+8.14%) + (1650 / (1+8.14%)2)
= $2,932.60
interest on initial installment: $241.74 ($2,932.60 x 8.24%)
Which two debt categories exist?
Unsecured debt and mortgage loans are the two primary categories of personal debt. Outstanding debt is primarily dependent on a person's creditworthiness, whereas secured debt involves collateral. A home equity line of credit is an illustration of secured installment loans, whereas a credit card is indeed an illustration of unsecured unsecured credit.
What do equity & debt mean?
With debt financing, you must pay back the loan amount interest payments over a certain period of time, usually in monthly installments. Contrarily, private equity has no responsibility for payment, so you can use additional funds in expanding your company.
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A stockholder sold her shares and made a profit of $1,403. If that is a profit of 27%, how much were the shares worth when she originally
purchased them? Round to the nearest cent .
The worth of the shares when the stockholder originally purchased them is $1105.
What are shares?Shares are fractional ownership interests in a corporation. For some businesses, shares are a type of financial instrument that allows for the equitable distribution of any declared residual profits in the form of dividends.
It is assumed that the purchase price of the share is $100. As the stockholder sold her shares for $1,403, making a profit of 27%, it implies that:
127 = $1,403
∴ 100 = $1,403/127 × 100
= $1104.72
Therefore, $1104.72 is the original purchase price of the share.
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The gross requirements of a given part or component are determined from: Select one: a. planned order release of the immediate parent(s). O b. gross requirements of the immediate parent(s). c. planned order releases of the end iterlos e O d. net requirements of the end item. e. net requirements + amount on-hand.
The gross requirements of a given part or component are determined from the planned order release of the immediate parent(s). Option A
This means that the amount of the part or component needed is calculated based on the planned orders for the item's immediate parent(s).
For example, if a manufacturer is producing a bicycle and needs a certain number of wheels for each bike, the gross requirements for the wheels would be determined by the planned order releases for the frames, which are the immediate parents of the wheels.
It is important to note that gross requirements represent the total quantity needed, including any excess or safety stock. This is different from net requirements, which only take into account the amount needed to fulfill demand, after accounting for existing inventory and planned orders.
By using gross requirements, manufacturers can ensure that they have enough inventory on hand to meet demand and minimize the risk of stockouts or delays in production. It is a key component of effective production planning and inventory management. So the correct answer is Option A.
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Look at the following email (attached). Name two good email netiquette practices used in the
email. Name two poor email netiquette practices
Two good email etiquettes practices used in email are:
Inserting a SubjectKeep the email short and restricted to three paragraphs.Two bad email etiquettes used in the email above are:
Indiscriminate use of the exclamation markDiscussing personal issues in a formal email.What are email etiquettes?The use of acceptable language, standards, and politeness in an email is referred to as email etiquette. Business emails often need formal language as well as rigorous respect to appropriate grammar and spelling.
Five useful E-mail Etiquette are:
Address your addressee appropriately. Check, double-check, and triple-check that you have the right spelling of the recipient's name and title.Proper greetings and closing statements should be used.Format correctly.Avoid using ALL CAPS.Large files should be compressed.Learn more about email etiquette:
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If npv is conceptually the best tool for capital budgeting, why do you think multiple measures are used in practice? what is the relationship between the profitability index and the npv? are there any situations in which you might prefer one method over the other?
Although NPV is thought to be the most reliable and theoretically sound way for analysing capital budgeting choices, managers may employ several metrics based on the particular scenario or decision being made
The process of preparing a budget defines how a company will distribute its financial resources over a specific time period. It include forecasting future income and spending, deciding on priorities, and establishing performance goals. A crucial component of financial management is budgeting, which enables businesses to keep expenditures in check, allocate resources efficiently, and make long term plans. Accurate financial data, communication across departments and stakeholders, and a clear grasp of the organization's goals and objectives are necessary for effective budgeting. Budgeting helps companies to make educated decisions, adjust to changing conditions, and maintain long-term sustainability by defining clear financial goals and tracking performance against them.budgeting
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Calculate the FV for the following 3 scenarios. Investment scenario #1:
You invest $1,000 (PV) for 10 years (n) at an interest rate of 5% (r). What is the amount you would receive at
the end of 10 years (FV)?
Investment scenario #2:
You invest $5,000 (PV) for 20 years (n) at an interest rate of 8% (r). What is the amount you would receive at
the end of 20 years (FV)?
Investment scenario #3:
You invest $10,000 (PV) for 30 years (n) at an interest rate of 12% (r). What is the amount you would receive
at the end of 30 years (FV)?
PLEASE ANSWER WITH WORK SHOWN :)
Answer:
?
Explanation:
Answer:
$2191.12
Explanation:
We are asked to find the value of a bond after 10 years, if you invest $1000 in a savings bond that pays 4% interest, compounded semi-annually.
FV=C_0\times (1+r)^n, where,
C_0=\text{Initial amount},
r = Rate of return in decimal form.
n = Number of periods.
Since interest is compounded semi-annually, so 'n' will be 2 times 10 that is 20.
4\%=\frac{4}{100}=0.04
FV=\$1,000\times (1+0.04)^{20}
FV=\$1,000\times (1.04)^{20}
FV=\$1,000\times 2.1911231430334194
FV=\$2191.1231430334194
FV\approx \$2191.12
Therefore, the bond would be $2191.12 worth in 10 years.
if the Hiber machin shop company the displacement rate is 6%
and precise break-even adjusted discount rate is 6.33, then
corresponds to a borrowing rate is:
a. 10%
b. 10.55%
c. 9.4%
The borrowing rate for the Hiber Machine Shop company is 12.33%.
What is the borrowing rate that corresponds to a precise break-even adjusted discount rate?The interest rate is the amount a lender charges a borrower and is a percentage of the principal—the amount loaned. To calculate the borrowing rate, we can use the formula: Borrowing Rate = Displacement Rate + Break-Even Adjusted Discount Rate
Borrowing Rate = 6% + 6.33%
Borrowing Rate = 12.33%
Therefore, the borrowing rate for the Hiber Machine Shop company is 12.33%.
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Look forward to the day when you will have accumulated $5,000, and assume that you have decided to invest that hard-earned money in the common stock of a publicly owned corporation. Required: What data about that company will you be most interested in
Conducting thorough research and analysis on a company before investing can help you make informed investment decisions and minimize your risk of potential losses.
Financial performance: You may be interested in reviewing the company's financial statements to assess its revenue growth, profitability, and cash flow generation. This data can help you understand the company's financial health and stability.
Industry trends: It's important to consider the industry in which the company operates and to review industry trends and forecasts. This information can help you assess the company's growth potential and future prospects.
Management team: The management team is a critical factor in the success of any company. You may want to review the qualifications and track record of the company's management team to assess their ability to lead the company and make sound business decisions.
Competitive landscape: Understanding the company's competitors and their market share can help you assess the company's position within its industry and its ability to compete effectively.
Corporate governance: You may want to review the company's corporate governance practices, such as the composition of its board of directors, to ensure that it operates in an ethical and transparent manner.
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#SPJ11
What kind of location appears temporarily, and then disappears?
Answer:
pop up retail location
Explanation: