Your bank is offering a term deposit that will earn investors an EAR of 14.00%. Your manager asks you to quote this as an APR with quarterly compounding. What is the correct APR?

13.32%

14.00%

13.17%

13.54%

Answers

Answer 1

The correct APR with quarterly compounding for the term deposit that earns an EAR of 14.00% is 13.32%.

To convert the EAR (Effective Annual Rate) to the APR (Annual Percentage Rate) with quarterly compounding, we need to use the formula:

APR = (1 + r/q)^q - 1

where r is the stated interest rate and q is the number of compounding periods per year.

In this case, the stated interest rate is 14.00% and the compounding is done quarterly (q = 4). Let's calculate the APR:

APR = (1 + 0.14/4)^4 - 1

APR = (1 + 0.035)^4 - 1

APR = (1.035)^4 - 1

APR ≈ 0.139141 - 1

APR ≈ 0.139141 - 1

APR ≈ 0.132858 or 13.28%

Therefore, the correct APR with quarterly compounding for the term deposit is approximately 13.32%.

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Related Questions

HELP


An example of soft skils that conveys ideas and influences change.

A.) Personal accountibility
B.) Hard skills
C.) Self-motivations
D.) Communication

Answers

I am pretty sure it is C

You are the production manager for the toy manufacturing process at the abc company. lumber company right arrow→ abc toy manufacturing company right arrow→ toy store at the mall an example of an internal supplier is





a. the toy store at the mall.





b. the receiving department at abc.





c. the shipping department at abc.





d. the lumber company.

Answers

Answer:

b. the receiving department at abc.

Explanation:

The given production process involves a process flow from Lumber Company to ABC Toy Manufacturing to Toy Store at the Mall.

The Lumber company and Toy Store are external parties in this process, with Lumber Company being the External Supplier and Toy Store at the Mall being the External Customer.

Internally we have the Receiving Department at ABC, that receives input from the Lumber Company. Processes it and sends to the Shipping Department.

Therefore internally the Receiving Department at ABC is the supplier to the Shipping Department.

In a(n) ____ a large number of buyers and sellers in the market, none of whom can individually affect the price of the product or service being bought or sold.

Answers

In a(n) perfectly competitive market, there is a large number of buyers and sellers, none of whom can individually affect the price of the product or service being bought or sold.

In a perfectly competitive market, there are several key characteristics:

Large number of buyers and sellers: There are numerous participants in the market, with no single buyer or seller having significant market power.

Homogeneous products: The products or services being traded are identical or very similar, with no differentiation among them.

Perfect information: Buyers and sellers have access to all relevant information about the market, including prices, quality, and availability.

Ease of entry and exit: Firms can enter or exit the market without significant barriers or restrictions.

Price takers: Each buyer and seller accepts the prevailing market price and has no influence over it.

In a perfectly competitive market, the forces of supply and demand determine the equilibrium price and quantity of the product or service. Individual buyers and sellers are price takers, meaning they must accept the market price established by the overall market dynamics.

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An insured with a participating life insurance policy receives annual dividends. She has opted for the insurer to use these funds to increase her overall amount of insurance. This would refer to which option:

Answers

Dividends are profits distributed to shareholders (policyholders) by insurance companies.

Paid-up additions are dividend options in which the policyholder can use the dividends to buy additional insurance of the same type as the original policy. The new coverage is fully paid, with no extra premiums to be paid. Policyholders can use paid-up additions to enhance their insurance policies by increasing the cash value of the policy and the death benefit.

As a result, a policyholder with a participating life insurance policy that has opted for the insurer to use dividends to increase the overall amount of insurance is choosing the "paid-up additions" option. In summary, the main answer to the question "An insured with a participating life insurance policy receives annual dividends.

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what is a valid credit card number

Answers

Between 10 and 19 digits are required for credit card numbers, which are typically 16 digits long. Each credit card number must adhere to a predetermined formula to identify the bank that issued the card. In order to confirm that the number is valid, credit card numbers also include a check digit.

Credit Card Number that Is Valid. The term "Card Number" refers to the number printed on the front of the Card or to any digital representations of the Card Number. If the card number is invalid, the card is effectively invalid because it has probably been closed at the bank that issued it. To remedy the problem, the cardholder should get in touch with the card issuing bank if they claim that the card is not closed.

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True or False. inter-enterprise information systems are necessary to share consumer-demand information.

Answers

True. Inter-enterprise information systems are necessary to share consumer-demand information.

Inter-enterprise information systems play a crucial role in facilitating the sharing of consumer-demand information among different organizations. These systems enable the seamless exchange of data and insights related to consumer preferences, trends, and demands across multiple entities within a supply chain or business ecosystem. By utilizing inter-enterprise information systems, companies can gather and disseminate valuable information about consumer demand, enabling more efficient planning, production, and delivery of goods and services. This collaborative approach helps businesses align their operations with consumer needs, enhance customer satisfaction, and optimize their overall performance. Therefore, inter-enterprise information systems are indeed necessary to share consumer-demand information effectively.

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A transaction will only happen if and only if the price is between:
The buyer’s value and the buyer’s outside option
The buyer’s value and the seller’s outside option
The buyer’s value and the seller’s cost of production
The buyer’s outside option and the seller’s outside option
The buyer’s outside option and the seller’s cost of production

Answers

A transaction will only happen if and only if the price is between the buyer's value and the seller's outside option.

Let's break down the options to understand why this is the correct answer:

- Option 1: The buyer's value and the buyer's outside option. This option doesn't make sense because the buyer's outside option is not directly related to the transaction. The buyer's outside option refers to an alternative choice the buyer has if the transaction doesn't occur, and it is not directly involved in determining the price of the transaction.

- Option 2: The buyer's value and the seller's outside option. This is the correct answer. The buyer's value represents the maximum amount the buyer is willing to pay for the item or service. The seller's outside option refers to an alternative choice the seller has if the transaction doesn't occur. For a transaction to happen, the price needs to fall between the buyer's value and the seller's outside option. This ensures that both the buyer and seller find the transaction mutually beneficial.

- Option 3: The buyer's value and the seller's cost of production. This option doesn't capture the buyer's perspective accurately. The buyer's value is the maximum price the buyer is willing to pay, whereas the seller's cost of production is the cost incurred by the seller to produce the item or service. The transaction price is determined by the buyer's value, not the seller's cost of production.

- Option 4: The buyer's outside option and the seller's outside option. The buyer's outside option is not directly involved in determining the price of the transaction. It refers to an alternative choice the buyer has if the transaction doesn't occur. The seller's outside option also refers to an alternative choice the seller has if the transaction doesn't occur. However, the price of the transaction is determined by the buyer's value and the seller's outside option, not the outside options of both parties.

- Option 5: The buyer's outside option and the seller's cost of production. The buyer's outside option is not directly involved in determining the price of the transaction. The seller's cost of production refers to the cost incurred by the seller to produce the item or service. The transaction price is determined by the buyer's value, not the seller's cost of production.

Therefore, the correct answer is: The transaction will only happen if and only if the price is between the buyer's value and the seller's outside option.

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a highly innovative firm operating in a competitive market will usually have

Answers

A high level of uncertainty and risk. A highly innovative firm operating in a competitive market typically faces a high level of uncertainty and risk due to the nature of the market.

In a competitive market, firms must constantly innovate and adapt to stay ahead of their competitors, which requires significant investments in research and development and the introduction of new products and services.

This creates uncertainty as to whether these investments will be successful and generate profits. Additionally, the competitive nature of the market means that firms must also contend with the risk of losing market share to their competitors, which can also lead to financial losses.

However, despite these challenges, a highly innovative firm operating in a competitive market can also benefit from higher rewards for their innovations, such as increased market share and higher profits. Therefore, while the level of uncertainty and risk may be high, the potential rewards can also be significant, making it an attractive market for firms that are able to innovate and succeed.  

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If you want to compare two different investments, what should you calculate? A. The compound interest B. The ROI percentages C. The ROI dollar amounts D. The capital gain Please select the best answer from the choices provided A B C D

Answers

Answer: B. The ROI percentages

Explanation: Making comparison between investments in terms of returns will involve calculating the ROI as a percentage. The ROI refers to the return on an investment which is the ratio of the net profit made from an investment and the cost of the investment. That is ;

ROI = (Net profit / cost of investment) × 100

Investment with greater or higher return on investment (ROI) is usually regarded as the best investment between alternatives. For instance two investments, A and B with ROI of 5% and 10% respectively. Investment B has a higher ROI than A and thus considered has the better investment decision.

Answer:

BBBBBBBBBBBBB

ROI percentages

Explanation:

did the test

What does it mean tamper proof?

Answers

Tamper proof means made so that you are able to see if anything has been changed, opened, removed or damaged.

Tamper-proof containers/locks/packaging product makers are encouraged to use tamper-proof packaging for their products.

Tamper evident packaging is packaging that alerts the consumer to foul play or damage to the product.

When tamper evident packaging is triggered by attempted removal or manipulation, it leaves evidence of these actions behind.

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Moneygrabber mutual fund gains 25% in year one and loses 20% in year two. What is its
actual annual return?
O-5%
0%
5%
10%

Answers

The actual annual return of Money grabber mutual fund  is 0%. The appropriate response is option B.

What is mutual fund?

A corporation that pools money from several people and invests it in securities like stocks, bonds, and short-term debt is known as a mutual fund. The portfolio of a mutual fund refers to all of its holdings. Mutual fund shares are purchased by investors. Each share reflects a shareholder's ownership interest in the fund and the revenue it produces.

The mutual fund gains 25% in year one and loses 20% in year two, thus  the average annual rate of return is 2.5%. The actual annual rate is 0%.

The appropriate response is option B.

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Give (2) examples how we deal with "Scarcity"

Answers

Answer:

Either increasing supply or lowering demand

Explanation:

increasing supply:

e.g. when less developed countries (LDCs) experience a famine or drought, other countries can supply food and/or water to them

lowering demand:

finding alternative solutions of the product (that have the same effect as the original product) or reducing the reasons for why there is a high demand

- e.g. crops not growing well due to weather/crop disease going around -> find a crop that is more resistant to the disease (reducing reasons for demand)

- e.g. rice field has an infestation -> not yielding enough rice to feed the population -> population feels hungry and other foods cannot help them feel full/sustain them -> find another crop to substitute, like yam or potatoes that are equally filling (alternative solutions)

but these two are pretty much the same so

also please note I don't take any courses on supply and demand other than geography so I might be completely wrong

***GIVING BRAINLIEST*** If you review your credit report and find an error, and you're able to prove it is, indeed, an error, how long does the credit bureau have to remove the error

Answers

Explanation:

he has to take as much time as he can

Based on your communications, you have established a list of decision criteria: marginal costs, adoption of synthetic components, estimated shipping costs, top note integrity, and base note integrity. How would you order the importance of the items on the list?


The number in parentheses indicates the relative weights for each factor.


A higher number indicates that an item is more important; a lower number indicates a factor is less important.

Answers

Answer: higher number indicates that an item is more important; a lower number indicates a factor is less important.

Explanation:

In order to order the importance of the items on the list, a higher number indicates that an item is more important while a lower number indicates a factor is less important.

In this case, one has to list the decisions criteria based on their importance. This is regarded as scale of preference in Economics.

In a command economy, which group is most responsible for producing the
goods people in society need?
A. Family members
B. Government agencies
C. Private businesses
D. International corporations

Answers

Answer:

Government agencies

Explanation:

In a command economy, the government controls major aspects of economic production. The government decides the means of production and owns the industries that produce goods and services for the public. The government prices and produces goods and services that it thinks benefits the people.

(B) Government agencies.

Command economy (Planned economy):In a planned economy, production, allocation of capital goods, and investment all occur in accordance with broad-scale production and economic plans. Centralized, decentralized, participative, or Soviet-style economic planning are all possible in a planned economy. Depending on the precise kind of planning mechanism used, the degree of centralization or decentralization in decision-making and involvement will vary.Central planning has been utilized in socialist regimes built on the Soviet model, however, some, like the former Socialist Federal Republic of Yugoslavia, have embraced some kind of market socialism. The direct calculation is substituted for factor markets in market abolitionist socialism as a means of coordinating the operations of the multiple socially owned economic firms that comprise the economy.

Therefore, the correct answer is (B) Government agencies.

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you are in an car crash

The word is CAR.................

WHERE ARE YOU?

WHERE IS THE CAR LOCATED?

WHAT COLOR IS?

WHO IS WITH YOU?

HOW DID YOU ARRIVE AT YOUR DESTINATION?

WHERE WERE YOU TRYING TO GO?

ARE YOU INJURED?

IS ANYONE ELSE INJURED?

HOW ARE YOU FEELING?

IS IT DAYTIME OR NIGHT TIME?

DOES THE CAR BELONG TO YOU?

HAVE THE POLICE BEEN CALLED?

ANY CHILDREN OR PARENTS AROUND?
HOW ARE THEY REACTING?

Answers

Answer:

ayudaaaáaaaaaaaaaaaaaaaaaaaaaaaaaa

Which of these factors is an advantage to using cash?

Which of these factors is an advantage to using cash?

Answers

Answer:

B no fees or charges

Explanation:

Your welcome

Answer:

B.no fees or changes this is the right one

Examine the balance sheets given in Table 1.3. a. What is the ratio of real assets to total assets for commercial banks? (Round your answer to 4 decimal places.) Ratio of real to total assets b. What is that ratio for nonfinancial firms? (Table 14) (Round your answer to 4 decimal places.)

Answers

The ratio of real assets to total assets is 1.71%.

Real assets are tangible possessions that are intrinsically valuable because of their nature and characteristics. Real assets include natural resources, precious metals, commodities, real estate, land, and equipment.Investments in tangible assets like real estate, energy, and infrastructure are included in the asset class known as "real assets." Real assets are inherently physically valuable. In contrast to real assets, which are typically intangible and derive their value from a contractual right, financial assets are tangible.Real assets are tangible possessions that are intrinsically valuable because of their nature and characteristics. Real assets include natural resources, precious metals, commodities, real estate, land, and equipment.

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Maxdime Inc. is an international automobile manufacturer that has decided to work on low-cost fuel efficient motorbikes. Foray Inc., a domestic automobile company based in China, is willing to partner temporarily with the R&D team of Maxdime to design and launch motorbikes specially for the Chinese market. This is an example of ________.
i. entrepreneurial orientation
ii. non-equity-based strategic
iii. alliance sole proprietorship
iv. product differentiation

Answers

There are different kinds of services rendered.  This above scenario is an example of non-equity-based strategic alliance.

What is non-equity strategic alliance?

In a non-equity strategic alliance, firms often develop a form of agreement to distribute their resources without forming a separate entity or sharing equity.

Non-equity alliances are said to be a kind of loose and informal setting than a partnership that involves equity. This is said to be composed of a high majority of business alliances

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7-59: one aspect of obtaining a college education is the prospect of improved future earnings in comparison to non-college graduates. sharon shay estimates that a college education has a $28,000 equivalent cost at graduation. she believes the benefits of her education will occur throughout 40 years of employment. she thinks that during the first 10 years out of college, her income will be higher than that of a non-college graduate by $3000 per year. during the subsequent 10 years, she projects an annual income that is $12,000 above the level of the non-college graduate. if her estimates are correct, what rate of return will she receive as a result of her investment in a college educatio

Answers

If Sharon's estimates are correct, her investment in a college education is expected to yield a rate of return of 9.4% over the 40-year period.

To calculate the rate of return on Sharon Shay's investment in a college education, we need to consider the present value of the costs and benefits over the 40-year period.

First, we need to determine the present value of the $28,000 equivalent cost at graduation. Assuming a discount rate of 5%, the present value of the cost would be approximately $11,738.

Next, we need to determine the present value of the benefits. In the first 10 years, Sharon expects to earn an additional $3,000 per year compared to a non-college graduate. Assuming a discount rate of 5%, the present value of this benefit would be approximately $23,070.

In the subsequent 10 years, Sharon expects to earn an additional $12,000 per year compared to a non-college graduate. Assuming a discount rate of 5%, the present value of this benefit would be approximately $87,601.

Finally, we need to calculate the total present value of the benefits over the 40-year period, which is the sum of the present values of the benefits in each of the four 10-year periods. Using the same discount rate of 5%, the total present value of the benefits is approximately $253,394.

Therefore, the total present value of the benefits minus the present value of the cost is approximately $241,656. To calculate the rate of return, we can use the formula for the internal rate of return (IRR) of an investment. Using a financial calculator, we find that the IRR of Sharon's investment in a college education is approximately 9.4%.

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Complete question:

One aspect of obtaining a college education is the prospect of improved future earnings in comparison to non-college graduates. Sharon Shay estimates that a college education has a $28,000 equivalent cost at graduation. She believes the benefits of her education will occur throughout 40 years of employment. She thinks that during the first 10 years out of college, her income will be higher than that of a non-college graduate by $3000 per year. During the subsequent 10 years, she projects an annual income that is $12,000 above the level of the non-college graduate. If her estimates are correct, what rate of return will she receive as a result of her investment in a college education?

what skills does a farm manager need?​

Answers

Answer:

Strong decision-making.

Problem-solving.

Communication.

The ability to work with people.

Leadership.

Administration skills.

Knowledge of key equipment practices.

Explanation:

They need to have free time. Without that free time...When will you be able to feed the plants? When will you be able to groom your horse? It also costs A LOT!! Because of the farm animals.

These are quite obvious but just in case I am going to list these for you:

Cow

Horse

Chicken

Donkeys (Optional)

Cats (Optional)

Peacocks (Very Optional due to the prices)

Sheep

Dogs (For the mice. Dogs have a supreme sense of smell. They can sniff out the mice.)

Are cash-secured puts a good strategy?

Answers

Cash-secured puts can be a good strategy for some investors, depending on their investment goals and risk tolerance.

A cash-secured put is an options trading strategy that involves selling a put option while simultaneously setting aside the cash required to buy the underlying security in case the option is exercised. If the option is not exercised, the seller keeps the premium as profit. If the option is exercised, the seller must purchase the underlying security at the strike price, using the cash set aside as collateral.

One potential benefit of this strategy is that it can generate income through the sale of the put option premium. However, it also involves the risk of potentially having to buy the underlying security at a higher price than its market value, if the option is exercised. Therefore, investors who use this strategy should be willing and able to hold the underlying security for the long term, if needed.

As with any investment strategy, it's important to do your own research and understand the risks involved before deciding whether cash-secured puts are a suitable strategy for your investment goals and risk tolerance. It may be a good idea to consult with a financial advisor or professional to get a better understanding of how this strategy may fit into your overall investment portfolio.

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Question 1 (7 points) Samuel just moved to Radford and plans to live here for 5 years. He just found a "perfect" house to live in with his family. The current owner is willing to sell or rent the house to Samuel. The selling price will be $295000. Samuel has 20% of the house's price for down payment and also 2% of the house's price for mortgage closing cost if he buys the house. Samuel is eligible for a 30-year 6% fixed -rate mortgage loan to finish the purchase. If Samuel owns the house, he needs to pay $2100 annually for insurance and property tax, and expects the house price to increase by 4% over the 5 years. When he sells the house, he needs to pay 6% of the selling price to the realtors. If Samuel rents the house, the annual rent will be $25000. Samuel is confident that he can have an annual after-tax investment return of 7% over the next five years. Samuel does not itemize tax deductions. Assume that all the expenses, payments, and investment payoffs occur at the end of the year. For living in the house for 5 years, what is the difference in the present value of costs between buying and renting (please report the absolute value of the difference and keep zero decimal places)? Hints

Answers

Therefore, the absolute value o the difference  in the present value of costs between buying and renting  is $ -44 534.786

What is the explanation for the above ?

Present value = PV = C / (1 + r)\(^{t}\)

where

PV is the present value

C is the cost

r is the discount rate

t  = the number of years

PV = $59,000 + $ 5,900 + $ 2,100 x (1 + 0.07)⁵ + $17,700 x (1 + 0.07)⁻⁵

= $80, 465.214

The present value of the costs of renting the house is simply the total cost of renting for 5 years, which is $ 25,000 x 5  

= $ 125,000.

Difference in present value

$ 80, 465.214 - $125,000 = $ -44 534.786

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Word of mouth promotion is also known as what?

Answers

Answer:

Word-of-mouth advertising (WOM advertising), also called word of mouth marketing, is the process of actively influencing and encouraging organic word of mouth discussion about a brand, organization, resource, or event.

Explanation:

hope this helps, pls mark brainliest :D

Word-of-mouth advertising is another name for viral marketing.

What is Word-of-mouth promotion?

The technique of deliberately influencing and supporting organic word-of-mouth talk about a brand, organization, resource, or event is known as word-of-mouth advertising (WOM advertising), sometimes known as word-of-mouth marketing.

A corporation can reach new audiences and establish a solid brand reputation by using word-of-mouth marketing. Businesses can enhance profitability, draw in new clients, and strengthen their bonds with current consumers by utilizing this distinctive and natural kind of marketing.

The type of rewards utilized has a significant impact on the effectiveness of word-of-mouth marketing. The employment of incorrect incentives to encourage customers or representatives to spread good word of mouth about goods or brands can have negative effects on a business, according to research.

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Assume you are in the 35 percent tax bracket and purchase a 3.60 percent municipal bond. Use the formula presented in this chapter to calculate the taxable equivalent yield for this investment.

Answers

To calculate the taxable equivalent yield for a 3.60 percent municipal bond while being in the 35 percent tax bracket, we can use the following formula: Taxable Equivalent Yield = Municipal Bond Yield / (1 - Marginal Tax Rate)

In this case, the municipal bond yield is 3.60 percent and the marginal tax rate is 35 percent. So, plugging in these values: Taxable Equivalent Yield = 3.60% / (1 - 0.35)
Taxable Equivalent Yield = 5.54%
Therefore, the taxable equivalent yield for a 3.60 percent municipal bond while being in the 35 percent tax bracket is 5.54 percent. This means that a taxable investment would need to yield at least 5.54 percent to be equivalent to the after-tax return of the municipal bond.
Hi! I'd be happy to help you calculate the taxable equivalent yield for a 3.60 percent municipal bond when you are in the 35 percent tax bracket. Here's the step-by-step process: 1. First, note the tax-free municipal bond yield: 3.60% (or 0.036 in decimal form)
2. Next, find your tax bracket: 35% (or 0.35 in decimal form)
3. Then, use the formula for taxable equivalent yield: Taxable Equivalent Yield = Tax-free Municipal Bond Yield / (1 - Tax Bracket) Now, plug in the values:
Taxable Equivalent Yield = 0.036 / (1 - 0.35)
4. Calculate the result:
Taxable Equivalent Yield = 0.036 / 0.65
Taxable Equivalent Yield = 0.0553846154 (rounded to 10 decimal places)
5. Convert the result back to percentage form:
Taxable Equivalent Yield = 5.53846154%

So, the taxable equivalent yield for a 3.60 percent municipal bond when you are in the 35 percent tax bracket is approximately 5.54%.

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1. Voice River, Inc. , provides media-on-demand services via the Internet. Management has been studying current interest rates. A lender is willing to make a two-year loan to Voice River at a 12 percent annual interest rate. The U. S. Government is currently paying 8 percent annual interest on its two-year securities. A. If the real rate of interest is expected to be 3 percent annually, what is the inflation premium expected at this time

Answers

Based on the rate the government is paying for its securities and the rate the lender is willing to make, the inflation premium must be 5%.

What is the inflation premium?

This is the part of the risk free rate that accounts for inflation in an economy.

It can be found as:

= Risk free rate - Real rate

Solving gives:

= 8% - 5%
= 3%

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technological advances allow smaller companies to compete with larger companies. group of answer choices true false

Answers

True, Technological advances allow smaller companies to compete with larger companies.

What is company?
A company is a legal entity created by a group of people to conduct and manage a business enterprise, whether it be commercial or industrial. Depending on the corporate law of its jurisdiction, a company may be set up in a variety of ways for tax and financial liability reasons. The type of business structure a company chooses, such as a partnership, sole proprietorship, or corporation, will typically depend on the industry it operates in. The ownership structure of the business is also indicated by these structures. Additionally, they can tell private from public companies. Both have different ownership arrangements, laws, and rules regarding financial reporting.

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whats the right option for ava

whats the right option for ava

Answers

The decision to either buy or lease based on the given requirements by Ava include:

Want to live here for a long time - Buy Want the chance to make money if I leave - Buy Interested in rental income - Buy Don't love to do repairs - Lease

Why should Ava buy or lease ?

If you have a strong desire to settle down in a particular area and establish long-term roots, buying a property might be a suitable option.  If you anticipate the possibility of relocating in the future and want the opportunity to earn money from your property, buying a home can offer potential financial benefits.

If generating rental income is a significant factor for you, purchasing a property to rent out could be a viable option.  If you prefer to avoid the responsibilities and costs associated with property repairs and maintenance, leasing might be more suitable for Ava .

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select the highlighted passages that represent accurate descriptions of susan shepler’s fieldwork in sierra leone.

Answers

The postwar efforts of human rights initiatives in rehabilitating the child soldiers of Sierra Leone are briefly discussed in Susan Shepler's Childhood Deployed: Remaking Child Soldiers in Sierra Leone.

Write a short note on Susan Shepler.

An anthropologist with substantial experience working in West Africa devastated by war, Susan Shepler is an associate professor in the School of International Service at American University. The goal of Susan Shepler's research is to comprehend how local communities interact with foreign interventions and the nuances of those local responses, including the micropolitics of gender, age, religion, and ethnicity.

Shepler traveled to Sierra Leone to do ethnographic fieldwork for her upcoming book, provisionally titled "Power You Can Trust: Fractal Sovereignty." It examines the conclusion reached by the international health community in the wake of the Ebola outbreak in 2014–2016. Shepler wrote the well-regarded book Childhood  Deployed: Remaking Child Soldiers in Sierra Leone and her articles have appeared in a number of scholarly journals.

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what's the difference between Utility and Marginal Unility?​

Answers

Answer:

One is large the other is small

Explanation:

Other Questions
Please help 10 points for one question Please dont answer if you dont know Formula for Manganese Bromide Tetrahydrate Do this for me please - correct answer gets brainliest! Reduce to simplest form.11)3-A)C) -C)D)101010 Triangle FGH is equilateral. The midpoints of the sides are connected to form triangle XYZ. Line segment XY is parallel to line segment FH.Triangle F G H is an equilateral triangle. Equilateral triangle X Y Z is inside of triangle F G H and the points are the midpoints of triangle F G H. What type of figure is quadrilateral FXYH?kiterhombustrapezoidparallelogram Please help!!!Why was the Reagan administration's support for the Nicaraguan Contrasdamaging for Ronald Reagan's image?A. It allowed the Contras to establish a socialist dictatorship.B. It convinced the Contras Middle Eastern enemies to launch an oilembargo.C. It contradicted the foreign policy established in the ReaganDoctrineD. It violated a federal law banning the sale of weapons to theContras. Because of their dual hydrophilicfhydrophobic nature, phospholipids spontaneously arrange themselves into a phospholipid bilayer in the presence of water. This double layer of phospholipids resembles a cheese sandwich, with the facing the watery medium inside AND outside the cell and the facing each other within the interior of the bilayer What are three health related conditions associated with high lipid consumption ? Which of the following is true about stratification systems?a. Most societies do not have true stratification systems.b. Most societies share the same amount of complexity in their stratification systems.c. Stratification systems are somewhat unusual in modern societies.d. Stratification systems vary in degree and complexity of stratification. Which sentence is the thesis statement school uniforms what type of synovial joint allows a bone to turn on its longitudinal axis? multiple choice question. Describe how weak bonds can hold large macromolecules together. Give specific examples of these bonds helping macromolecule form a secondary or tertiary structure. The series [infinity] (-1)^n In n / n n=3 is O conditionally convergent O convergent by the Ratio Test O divergent by the Alternating Series Test O divergent by the Divergence Test O Absolutely convergent Submit which data collection technique would be the most effective way of investigating the relationship between political preferences and the economic status of north americans? The exponential function P(x) undergoes a transformation in the following graph.The preimage of the transformation is labeled P(x), and the image is labeled I(x Who is likely to questions for friends? food inspectors inspect samples of food products to see if they are safe. this can be thought of as a hypothesis test with the following hypotheses. h0: the food is safe ha: the food is not safe the following is an example of what type of error? the sample suggests that the food is safe, but it actually is not safe. type i type ii not an error If a person scatters a handful of garden pea plant seeds in one area, how would natural selection work in this situation? Select one or more:a. The plants that can best use the resources of the area, including competing with other individuals for those resources will produce more seeds themselves and those traits that allowed them to better use the resources will increase in the population the next generation.b. The plants that can best use their genetic drift will not die off and become colonizers.c. At the molecular level natural selection, the universal genetic code and homologous molecules provide evidence of common descendant.d. The plants would show small-scale evolution with short life cycles. If a pedestrian walked 900 meters forward and 300 meters back a) what would their distance be and what would their displacement be? B) if the journey took 400 seconds, what would their average speed and velocity be for the entire round trip 4.2% of what number is 7.56?